|
|||||||||||||||||||||||||
|
|||||||||||||||||||||||||
| |||||||||||||||||||||||||
| |||||||||||||||||||||||||
| |||||||||||||||||||||||||
1 | AN ACT concerning finance.
| ||||||||||||||||||||||||
2 | Be it enacted by the People of the State of Illinois,
| ||||||||||||||||||||||||
3 | represented in the General Assembly:
| ||||||||||||||||||||||||
4 | Section 5. The Secretary of State Act is amended by | ||||||||||||||||||||||||
5 | changing Section 5.5 as follows:
| ||||||||||||||||||||||||
6 | (15 ILCS 305/5.5)
| ||||||||||||||||||||||||
7 | Sec. 5.5. Secretary of State fees. There shall be paid to
| ||||||||||||||||||||||||
8 | the Secretary of State the following fees:
| ||||||||||||||||||||||||
9 | For certificate or apostille, with seal: $2.
| ||||||||||||||||||||||||
10 | For each certificate, without seal: $1.
| ||||||||||||||||||||||||
11 | For each commission to any officer or other person (except | ||||||||||||||||||||||||
12 | military
commissions), with seal: $2.
| ||||||||||||||||||||||||
13 | For copies of exemplifications of records, or for a | ||||||||||||||||||||||||
14 | certified copy of any
document, instrument, or paper when not | ||||||||||||||||||||||||
15 | otherwise provided by law, and
it does not exceed legal size: | ||||||||||||||||||||||||
16 | $0.50 per page or any portion
of a page; and
$2 for the | ||||||||||||||||||||||||
17 | certificate, with seal affixed.
| ||||||||||||||||||||||||
18 | For copies of exemplifications of records or a certified | ||||||||||||||||||||||||
19 | copy of any
document, instrument, or paper, when not otherwise | ||||||||||||||||||||||||
20 | provided for by law,
that exceeds legal size: $1 per page or | ||||||||||||||||||||||||
21 | any portion of a
page; and $2 for
the certificate, with seal | ||||||||||||||||||||||||
22 | affixed.
| ||||||||||||||||||||||||
23 | For copies of bills or other papers: $0.50 per page or any
|
| |||||||
| |||||||
1 | portion
of a page; and $2 for the certificate, with seal
| ||||||
2 | affixed, except that
there shall be no charge for making or | ||||||
3 | certifying copies that are furnished
to any governmental agency | ||||||
4 | for official use.
| ||||||
5 | For recording a duplicate of an affidavit showing the | ||||||
6 | appointment of
trustees
of a religious corporation: $0.50; and | ||||||
7 | $2 for the certificate of
recording,
with seal affixed.
| ||||||
8 | For filing and recording an application under the Soil | ||||||
9 | Conservation
Districts Law and making and issuing a certificate | ||||||
10 | for the application, under seal:
$10.
| ||||||
11 | For recording any other document, instrument, or paper | ||||||
12 | required or
permitted to be recorded with the Secretary of | ||||||
13 | State, which recording shall
be done by any approved | ||||||
14 | photographic or photostatic process, if
the page
to be recorded | ||||||
15 | does not exceed legal size and the fees and charges therefor
| ||||||
16 | are not otherwise fixed by law: $0.50 per page or any portion | ||||||
17 | of
a page; and $2
for the certificate of recording, with seal | ||||||
18 | affixed.
| ||||||
19 | For recording any other document, instrument, or paper | ||||||
20 | required or
permitted to be recorded with the Secretary of | ||||||
21 | State, which recording shall
be done by any approved | ||||||
22 | photographic or photostatic process, if
the page
to be recorded | ||||||
23 | exceeds legal size and the fees and charges therefor are not
| ||||||
24 | otherwise fixed by law: $1 per page or any portion of a page; | ||||||
25 | and $2 for the
certificate of recording attached to the | ||||||
26 | original, with seal
affixed.
|
| |||||||
| |||||||
1 | For each duplicate certified copy of a school land patent: | ||||||
2 | $3.
| ||||||
3 | For each photostatic copy of a township plat: $2.
| ||||||
4 | For each page of a photostatic copy of surveyors field | ||||||
5 | notes: $2.
| ||||||
6 | For each page of a photostatic copy of a state land patent, | ||||||
7 | including
certification: $4.
| ||||||
8 | For each page of a photostatic copy of a swamp land grant: | ||||||
9 | $2.
| ||||||
10 | For each page of photostatic copies of all other | ||||||
11 | instruments or
documents relating to land records: $2.
| ||||||
12 | For each check, money order, or bank draft returned by the | ||||||
13 | Secretary of
State when it has not been honored: $2
$25 .
| ||||||
14 | For any research request received after the effective date | ||||||
15 | of the changes
made to this Section by this
amendatory Act of | ||||||
16 | the 93rd General Assembly by an out-of-State or non-Illinois
| ||||||
17 | resident: $10,
prepaid and nonrefundable, for which the | ||||||
18 | requester will receive up to 2
unofficial
noncertified copies | ||||||
19 | of the records requested. The fees under this paragraph
shall | ||||||
20 | be deposited into
the
General Revenue Fund.
| ||||||
21 | The Illinois State Archives is authorized to charge | ||||||
22 | reasonable fees to
reimburse the cost of production and | ||||||
23 | distribution of copies of finding aids to
the
records that it | ||||||
24 | holds or copies of published versions or editions of those
| ||||||
25 | records
in printed, microfilm, or electronic formats. The fees | ||||||
26 | under this paragraph
shall be deposited
into
the
General |
| |||||||
| |||||||
1 | Revenue Fund.
| ||||||
2 | As used in this Section, "legal size" means a sheet of | ||||||
3 | paper that is 8.5
inches wide and 14 inches long, or written or | ||||||
4 | printed matter on a sheet of
paper that does not exceed that | ||||||
5 | width and length, or either of them.
| ||||||
6 | (Source: P.A. 93-32, eff. 1-1-04.)
| ||||||
7 | Section 10. The Capital Development Board Act is amended by | ||||||
8 | changing Section 9.02a as follows:
| ||||||
9 | (20 ILCS 3105/9.02a) (from Ch. 127, par. 779.02a)
| ||||||
10 | (This Section is scheduled to be repealed on June 30, 2012)
| ||||||
11 | Sec. 9.02a. To charge contract administration
fees used to | ||||||
12 | administer and process the terms of contracts awarded by this
| ||||||
13 | State. Contract administration fees shall not exceed
1.5% 3% of | ||||||
14 | the contract amount. This Section is repealed June 30,
2012.
| ||||||
15 | (Source: P.A. 95-726, eff. 6-30-08.)
| ||||||
16 | Section 15. The Lobbyist Registration Act is amended by | ||||||
17 | changing Section 5 as follows: | ||||||
18 | (25 ILCS 170/5)
| ||||||
19 | Sec. 5. Lobbyist registration and disclosure. Every person | ||||||
20 | required to
register under Section 3 shall
before any service
| ||||||
21 | is performed which requires the person to register, but in any | ||||||
22 | event not
later than 2 business days after being employed or |
| |||||||
| |||||||
1 | retained, and on or before
each
January 31 and July 31 | ||||||
2 | thereafter, file in the Office of the
Secretary of State a | ||||||
3 | written statement containing the
following
information
with | ||||||
4 | respect to each person or entity
employing or retaining the | ||||||
5 | person required to register:
| ||||||
6 | (a) The registrant's name, permanent address, e-mail
| ||||||
7 | address, if any,
fax
number, if any, business telephone | ||||||
8 | number, and temporary address, if the
registrant has a | ||||||
9 | temporary address while lobbying.
| ||||||
10 | (a-5) If the registrant is an organization or business | ||||||
11 | entity, the
information required under subsection (a) for | ||||||
12 | each person associated with the
registrant who will be | ||||||
13 | lobbying,
regardless of whether lobbying is a significant | ||||||
14 | part of his or her duties.
| ||||||
15 | (b) The name and address of the person or persons | ||||||
16 | employing or retaining
registrant to perform such services | ||||||
17 | or on whose behalf the registrant appears.
| ||||||
18 | (c) A brief description of the executive, legislative, | ||||||
19 | or administrative
action in reference to which such service | ||||||
20 | is to be rendered.
| ||||||
21 | (c-5) Each executive and legislative branch agency the | ||||||
22 | registrant
expects
to lobby during the registration | ||||||
23 | period.
| ||||||
24 | (c-6) The nature of the client's business, by | ||||||
25 | indicating all
of the following categories that apply: (1) | ||||||
26 | banking and financial services, (2)
manufacturing, (3) |
| |||||||
| |||||||
1 | education, (4) environment, (5) healthcare, (6)
insurance, | ||||||
2 | (7) community interests, (8) labor, (9) public relations or
| ||||||
3 | advertising, (10) marketing or sales, (11) hospitality, | ||||||
4 | (12) engineering,
(13) information or technology products | ||||||
5 | or services, (14) social services,
(15) public utilities, | ||||||
6 | (16) racing or wagering, (17) real estate or
construction, | ||||||
7 | (18) telecommunications, (19) trade or professional
| ||||||
8 | association, (20) travel or tourism, (21) transportation, | ||||||
9 | and (22) other
(setting forth the nature of that other | ||||||
10 | business).
| ||||||
11 | The registrant must file an amendment to the statement | ||||||
12 | within 14 calendar
days
to report any substantial change or | ||||||
13 | addition to the information previously
filed, except that a | ||||||
14 | registrant must file an amendment to the statement to
disclose | ||||||
15 | a new agreement to retain the registrant for lobbying services
| ||||||
16 | before any service is performed which requires the person to | ||||||
17 | register, but in
any event not later than 2 business days after | ||||||
18 | entering into the retainer
agreement.
| ||||||
19 | Not later than 12 months after the effective date of this | ||||||
20 | amendatory
Act of the 93rd General Assembly, or as soon | ||||||
21 | thereafter as the Secretary of
State has provided adequate | ||||||
22 | software to the persons required to file, all
statements and | ||||||
23 | amendments to statements required to be filed shall be filed
| ||||||
24 | electronically. The Secretary of State shall promptly make all | ||||||
25 | filed
statements and amendments to statements publicly | ||||||
26 | available by means of a
searchable database that is accessible |
| |||||||
| |||||||
1 | through the World Wide Web. The
Secretary of State shall | ||||||
2 | provide all software necessary to comply with this
provision to | ||||||
3 | all persons required to file. The Secretary of State shall
| ||||||
4 | implement a plan to provide computer access and assistance to | ||||||
5 | persons
required to file electronically.
| ||||||
6 | Persons required to register under this Act prior to July | ||||||
7 | 1, 2003 and on or after the effective date of this amendatory | ||||||
8 | Act of the 96th General Assembly ,
shall
remit a single, annual | ||||||
9 | and nonrefundable $50 registration fee.
All fees collected for | ||||||
10 | registrations prior to July 1, 2003, shall be deposited
into | ||||||
11 | the Lobbyist Registration Administration Fund for | ||||||
12 | administration and
enforcement of this Act. Beginning July 1, | ||||||
13 | 2003 and until the effective date of this amendatory Act of the | ||||||
14 | 96th General Assembly , all persons other than
entities | ||||||
15 | qualified under Section 501(c)(3) of the Internal Revenue Code
| ||||||
16 | required to register under this Act shall remit a single, | ||||||
17 | annual, and
nonrefundable $350 registration fee. Entities | ||||||
18 | required to register under this
Act
which are qualified under | ||||||
19 | Section 501(c)(3) of the Internal Revenue Code shall
remit a | ||||||
20 | single, annual,
and nonrefundable $150 registration fee. Each | ||||||
21 | individual required to register
under this Act shall submit, on | ||||||
22 | an annual basis, a picture of the registrant. A registrant may, | ||||||
23 | in lieu of submitting a
picture on an annual basis, authorize | ||||||
24 | the Secretary of State to use any photo
identification | ||||||
25 | available in any database maintained by the Secretary of State
| ||||||
26 | for other purposes. Of each registration fee collected for |
| |||||||
| |||||||
1 | registrations on
or after July 1, 2003 until the effective date | ||||||
2 | of this amendatory Act of the 96th General Assembly , $50 shall | ||||||
3 | be deposited into the Lobbyist
Registration Administration | ||||||
4 | Fund for administration and enforcement
of this
Act and is | ||||||
5 | intended to be used to implement and maintain
electronic
filing | ||||||
6 | of
reports under this Act, the next
$100 shall be deposited | ||||||
7 | into the Lobbyist
Registration Administration Fund for | ||||||
8 | administration and enforcement of this
Act, and any balance | ||||||
9 | shall be deposited into the General Revenue Fund.
| ||||||
10 | (Source: P.A. 93-32, eff. 7-1-03; 93-615, eff. 11-19-03; | ||||||
11 | 93-617, eff. 12-9-03.)
| ||||||
12 | (30 ILCS 105/8j rep.)
| ||||||
13 | Section 20. The State Finance Act is amended by repealing | ||||||
14 | Section 8j. | ||||||
15 | Section 25. The Retailers' Occupation Tax Act is amended by | ||||||
16 | changing Section 2d as follows:
| ||||||
17 | (35 ILCS 120/2d) (from Ch. 120, par. 441d)
| ||||||
18 | Sec. 2d. Tax prepayment by motor fuel retailer. Any person | ||||||
19 | engaged in the business of selling motor fuel at
retail, as | ||||||
20 | defined in the Motor Fuel Tax Law, and who is not a
licensed | ||||||
21 | distributor or supplier, as defined in the Motor Fuel Tax Law,
| ||||||
22 | shall prepay to his or her distributor, supplier, or other | ||||||
23 | reseller of
motor fuel a portion of the tax imposed by this Act |
| |||||||
| |||||||
1 | if the distributor,
supplier, or other reseller of motor fuel | ||||||
2 | is registered under Section 2a or
Section 2c of this Act. The | ||||||
3 | prepayment requirement provided for in this
Section does not | ||||||
4 | apply to liquid propane gas.
| ||||||
5 | Beginning on July 1, 2000 and through December 31, 2000, | ||||||
6 | the Retailers'
Occupation Tax paid to the distributor, | ||||||
7 | supplier,
or other reseller shall be an amount equal to $0.01 | ||||||
8 | per
gallon of the motor fuel, except gasohol as defined in | ||||||
9 | Section 2-10 of
this Act which shall be an amount equal to | ||||||
10 | $0.01 per gallon,
purchased from the distributor, supplier, or | ||||||
11 | other reseller.
| ||||||
12 | Before July 1, 2000 and then beginning on January 1, 2001 | ||||||
13 | and through June
30, 2003 and beginning again on the effective | ||||||
14 | date of this amendatory Act of the 96th General Assembly ,
the | ||||||
15 | Retailers' Occupation Tax paid
to the distributor, supplier, or | ||||||
16 | other reseller shall be an amount equal to
$0.04 per gallon
of | ||||||
17 | the motor fuel, except gasohol as defined in Section 2-10 of | ||||||
18 | this Act which
shall be an
amount equal to $0.03 per gallon, | ||||||
19 | purchased from the distributor, supplier, or
other
reseller.
| ||||||
20 | Beginning July 1, 2003 and until the effective date of this | ||||||
21 | amendatory Act of the 96th General Assembly
thereafter , the | ||||||
22 | Retailers' Occupation Tax paid
to
the
distributor, supplier, or | ||||||
23 | other reseller shall be an amount equal to $0.06 per
gallon of | ||||||
24 | the
motor fuel, except gasohol as defined in Section 2-10 of | ||||||
25 | this Act which shall
be an
amount equal to $0.05 per gallon, | ||||||
26 | purchased from the distributor, supplier, or
other
reseller.
|
| |||||||
| |||||||
1 | Any person engaged in the business of selling motor fuel at | ||||||
2 | retail shall
be entitled to a credit against tax due under this | ||||||
3 | Act in an amount equal
to the tax paid to the distributor, | ||||||
4 | supplier, or other reseller.
| ||||||
5 | Every distributor, supplier, or other reseller registered | ||||||
6 | as provided in
Section 2a or Section 2c of this Act shall remit | ||||||
7 | the prepaid tax on all
motor fuel that is due from any person | ||||||
8 | engaged in the business of selling
at retail motor fuel with | ||||||
9 | the returns filed under Section 2f or Section 3
of this Act, | ||||||
10 | but the vendors discount provided in Section 3 shall not apply
| ||||||
11 | to the amount of prepaid tax that is remitted. Any distributor | ||||||
12 | or supplier
who fails to properly collect and remit the tax | ||||||
13 | shall be liable for the
tax. For purposes of this Section, the | ||||||
14 | prepaid tax is due on invoiced
gallons sold during a month by | ||||||
15 | the 20th day of the following month.
| ||||||
16 | (Source: P.A. 93-32, eff. 6-20-03.)
| ||||||
17 | Section 30. The Cigarette Tax Act is amended by changing | ||||||
18 | Section 29 as follows:
| ||||||
19 | (35 ILCS 130/29) (from Ch. 120, par. 453.29)
| ||||||
20 | Sec. 29. All moneys received by the Department from the | ||||||
21 | one-half mill
tax imposed by the Sixty-fourth General Assembly | ||||||
22 | and all interest and
penalties, received in connection | ||||||
23 | therewith under the provisions of this
Act shall be paid into | ||||||
24 | the Metropolitan Fair and Exposition Authority
Reconstruction |
| |||||||
| |||||||
1 | Fund. All other moneys received by the Department under this
| ||||||
2 | Act shall be paid into the General Revenue Fund in the State | ||||||
3 | treasury.
After there has been paid into the Metropolitan Fair | ||||||
4 | and Exposition
Authority Reconstruction Fund sufficient money | ||||||
5 | to pay in full both
principal and interest, all of the | ||||||
6 | outstanding bonds issued pursuant to the
"Fair and Exposition | ||||||
7 | Authority Reconstruction Act", the State Treasurer and
| ||||||
8 | Comptroller shall transfer to the General Revenue Fund the | ||||||
9 | balance of
moneys remaining in the Metropolitan Fair and | ||||||
10 | Exposition Authority
Reconstruction Fund except for $2,500,000 | ||||||
11 | which shall remain in the
Metropolitan Fair and Exposition | ||||||
12 | Authority Reconstruction Fund and which
may be appropriated by | ||||||
13 | the General Assembly for the corporate purposes of
the | ||||||
14 | Metropolitan Pier and Exposition Authority. All monies | ||||||
15 | received by the
Department in fiscal year 1978 and thereafter | ||||||
16 | from the one-half mill tax
imposed by the Sixty-fourth General | ||||||
17 | Assembly, and all interest and
penalties received in connection | ||||||
18 | therewith under the provisions of this
Act, shall be paid into | ||||||
19 | the General Revenue Fund, except that the
Department shall pay | ||||||
20 | the first $4,800,000 received in fiscal years
1979 through 2001 | ||||||
21 | from that one-half
mill tax into the
Metropolitan Fair and | ||||||
22 | Exposition Authority Reconstruction Fund
which monies may be | ||||||
23 | appropriated by the General Assembly for the corporate
purposes | ||||||
24 | of the Metropolitan Pier and Exposition Authority.
| ||||||
25 | In fiscal year 2002 and fiscal year 2003 and in fiscal year | ||||||
26 | 2009 and thereafter , the first $4,800,000 from the
one-half |
| |||||||
| |||||||
1 | mill tax
shall be
paid into the Statewide Economic Development | ||||||
2 | Fund.
| ||||||
3 | All moneys received by the Department in fiscal year 2006 | ||||||
4 | and thereafter from the one-half mill tax imposed by the 64th | ||||||
5 | General Assembly and all interest and penalties received in | ||||||
6 | connection with that tax under the provisions of this Act shall | ||||||
7 | be paid into the General Revenue Fund.
| ||||||
8 | (Source: P.A. 93-22, eff. 6-20-03; 94-91, eff. 7-1-05.)
| ||||||
9 | Section 35. The Motor Fuel Tax Law is amended by changing | ||||||
10 | Sections 2b, 6, and 6a, as follows:
| ||||||
11 | (35 ILCS 505/2b) (from Ch. 120, par. 418b)
| ||||||
12 | Sec. 2b. In addition to the tax collection and reporting | ||||||
13 | responsibilities
imposed elsewhere in this Act, a person who is | ||||||
14 | required to pay the tax imposed
by Section 2a of this Act shall | ||||||
15 | pay the tax to the Department by return showing
all fuel | ||||||
16 | purchased, acquired or received and sold, distributed or used | ||||||
17 | during
the preceding calendar month
including losses of fuel as | ||||||
18 | the result of evaporation or shrinkage due to
temperature | ||||||
19 | variations, and such other reasonable information as the
| ||||||
20 | Department may require.
Losses of fuel as the result of | ||||||
21 | evaporation or shrinkage due to temperature
variations may not | ||||||
22 | exceed 1% of the total gallons in
storage at the
beginning of | ||||||
23 | the month, plus the receipts of gallonage during the month, | ||||||
24 | minus
the gallonage remaining in storage at the end of the |
| |||||||
| |||||||
1 | month. Any loss reported
that is in excess of this amount shall | ||||||
2 | be subject to the tax imposed by
Section
2a of this Law.
On and | ||||||
3 | after July 1, 2001, for each 6-month period January through | ||||||
4 | June, net
losses of fuel (for each category of fuel that is | ||||||
5 | required to be reported on a
return) as the result of | ||||||
6 | evaporation or shrinkage due to temperature variations
may not | ||||||
7 | exceed 1% of the total gallons in storage at the beginning of | ||||||
8 | each
January, plus the receipts of gallonage each January | ||||||
9 | through June, minus the
gallonage remaining in storage at the | ||||||
10 | end of each June. On and after July 1,
2001, for each 6-month | ||||||
11 | period July through December, net losses of fuel (for
each | ||||||
12 | category of fuel that is required to be reported on a return) | ||||||
13 | as the
result of evaporation or shrinkage due to temperature | ||||||
14 | variations may not exceed
1% of the total gallons in storage at | ||||||
15 | the beginning of each July, plus the
receipts of gallonage each | ||||||
16 | July through December, minus the gallonage remaining
in storage | ||||||
17 | at the end of each December. Any net loss reported that is in
| ||||||
18 | excess of this amount shall be subject to the tax imposed by | ||||||
19 | Section 2a of this
Law. For purposes of this Section, "net | ||||||
20 | loss" means the number of gallons
gained through temperature | ||||||
21 | variations minus the number of gallons lost through
temperature | ||||||
22 | variations or evaporation for each of the respective 6-month
| ||||||
23 | periods.
| ||||||
24 | The return shall be prescribed by the Department and shall | ||||||
25 | be filed
between the 1st and 20th days of each calendar month. | ||||||
26 | The Department may, in
its discretion, combine the returns |
| |||||||
| |||||||
1 | filed under this Section, Section 5, and
Section 5a of this | ||||||
2 | Act. The return must be accompanied by appropriate
| ||||||
3 | computer-generated magnetic media supporting schedule data in | ||||||
4 | the format
required by the Department, unless, as provided by | ||||||
5 | rule, the Department grants
an exception upon petition of a | ||||||
6 | taxpayer. If the return is filed timely, the
seller shall take | ||||||
7 | a discount of 2% through June 30, 2003 and beginning again on | ||||||
8 | the effective date of this amendatory Act of the 96th General | ||||||
9 | Assembly and 1.75%
for the period beginning on July 1, 2003 | ||||||
10 | until the effective date of this amendatory Act of the 96th | ||||||
11 | General Assembly
thereafter which is allowed to reimburse
the | ||||||
12 | seller for
the expenses incurred in keeping records, preparing | ||||||
13 | and filing returns,
collecting and remitting the tax and | ||||||
14 | supplying data to the Department on
request.
The discount, | ||||||
15 | however, shall be applicable only to the amount
of payment
| ||||||
16 | which accompanies a return that is filed timely in accordance | ||||||
17 | with this
Section.
| ||||||
18 | (Source: P.A. 92-30, eff. 7-1-01; 93-32, eff. 6-20-03.)
| ||||||
19 | (35 ILCS 505/6) (from Ch. 120, par. 422)
| ||||||
20 | Sec. 6. Collection of tax; distributors. A distributor who | ||||||
21 | sells or
distributes any motor fuel, which he is
required by | ||||||
22 | Section 5 to report to the Department when filing a return,
| ||||||
23 | shall (except as hereinafter provided) collect at the time of | ||||||
24 | such sale and
distribution, the amount of tax imposed under | ||||||
25 | this Act on all such motor
fuel sold and distributed, and at |
| |||||||
| |||||||
1 | the time of making a return, the
distributor shall pay to the | ||||||
2 | Department the amount so collected less a discount
of 2% | ||||||
3 | through June 30, 2003 and beginning again on the effective date | ||||||
4 | of this amendatory Act of the 96th General Assembly and 1.75% | ||||||
5 | for the period beginning on July 1, 2003 until the effective | ||||||
6 | date of this amendatory Act of the 96th General Assembly
| ||||||
7 | thereafter which is allowed to
reimburse the distributor for | ||||||
8 | the
expenses incurred
in keeping records, preparing and filing | ||||||
9 | returns, collecting and remitting
the tax and supplying data to | ||||||
10 | the Department on request, and shall also
pay to the Department | ||||||
11 | an amount equal to the amount that would be collectible
as a | ||||||
12 | tax in the event of a sale thereof on all such motor fuel used | ||||||
13 | by said
distributor during the period covered by the return.
| ||||||
14 | However, no payment shall be made based upon dyed diesel fuel | ||||||
15 | used
by the distributor for non-highway purposes.
The discount
| ||||||
16 | shall only be applicable to the amount of tax payment which | ||||||
17 | accompanies a
return which is filed timely in accordance with | ||||||
18 | Section 5 of this Act.
In each subsequent sale of motor fuel on | ||||||
19 | which the amount of tax imposed under
this Act has been | ||||||
20 | collected as provided in this Section, the amount so
collected | ||||||
21 | shall be added to the selling price, so that the amount of tax | ||||||
22 | is
paid ultimately by the user of the motor fuel. However, no | ||||||
23 | collection or
payment shall be made in the case of the sale or | ||||||
24 | use of any motor fuel to the
extent to which such sale or use of | ||||||
25 | motor fuel may not, under the constitution
and statutes of the | ||||||
26 | United States, be made the subject of taxation by this
State. A |
| |||||||
| |||||||
1 | person whose license to act as a distributor of fuel has been | ||||||
2 | revoked
shall, at the time of making a return, also pay to the | ||||||
3 | Department an amount
equal to the amount that would be | ||||||
4 | collectible as a tax in the event of a sale
thereof on all | ||||||
5 | motor fuel, which he is required by the second paragraph of
| ||||||
6 | Section 5 to report to the Department in making a return, and | ||||||
7 | which he had on
hand on the date on which the license was | ||||||
8 | revoked, and with respect to which no
tax had been previously | ||||||
9 | paid under this Act.
| ||||||
10 | A distributor may make tax free sales of motor fuel, with | ||||||
11 | respect to
which he is otherwise required to collect the tax, | ||||||
12 | when the motor fuel is
delivered from a dispensing facility | ||||||
13 | that has withdrawal
facilities capable of dispensing motor fuel | ||||||
14 | into the fuel supply tanks of
motor vehicles only as specified | ||||||
15 | in the following items 3, 4, and 5. A
distributor may make | ||||||
16 | tax-free sales of motor fuel, with respect to which
he is | ||||||
17 | otherwise required to collect the tax, when the motor fuel is | ||||||
18 | delivered
from other facilities only as specified in the | ||||||
19 | following items 1 through 7.
| ||||||
20 | 1. When the sale is made to a person holding a valid | ||||||
21 | unrevoked license
as a distributor, by making a specific | ||||||
22 | notation thereof on invoices or sales
slip covering each | ||||||
23 | sale.
| ||||||
24 | 2. When the sale is made with delivery to a purchaser | ||||||
25 | outside of this
State.
| ||||||
26 | 3. When the sale is made to the Federal Government or |
| |||||||
| |||||||
1 | its
instrumentalities.
| ||||||
2 | 4. When the sale is made to a municipal corporation | ||||||
3 | owning and operating
a local transportation system for | ||||||
4 | public service in this State when an
official certificate | ||||||
5 | of exemption is obtained in lieu of the tax.
| ||||||
6 | 5. When the sale is made to a privately owned public | ||||||
7 | utility owning and
operating 2 axle vehicles designed and | ||||||
8 | used for transporting more than 7
passengers, which | ||||||
9 | vehicles are used as common carriers in general
| ||||||
10 | transportation of passengers, are not devoted to any | ||||||
11 | specialized purpose
and are operated entirely within the | ||||||
12 | territorial limits of a single
municipality or of any group | ||||||
13 | of contiguous municipalities, or in a close
radius thereof, | ||||||
14 | and the operations of which are subject to the regulations
| ||||||
15 | of the Illinois Commerce Commission, when an official | ||||||
16 | certificate of
exemption is obtained in lieu of the tax.
| ||||||
17 | 6. When a sale of special fuel is made to a person | ||||||
18 | holding a valid,
unrevoked license as a supplier, by making | ||||||
19 | a specific notation thereof on
the invoice or sales slip | ||||||
20 | covering each such sale.
| ||||||
21 | 7. When a sale of special fuel is made to someone
other | ||||||
22 | than a licensed
distributor or a licensed supplier for
a | ||||||
23 | use other than in motor vehicles, by making a specific | ||||||
24 | notation thereof on
the
invoice or sales slip covering such | ||||||
25 | sale and obtaining such supporting
documentation as may be | ||||||
26 | required by the Department.
The distributor shall obtain |
| |||||||
| |||||||
1 | and
keep the supporting documentation in such form as the | ||||||
2 | Department may require by
rule.
| ||||||
3 | 8. (Blank).
| ||||||
4 | All special fuel sold or used for non-highway purposes must | ||||||
5 | have a dye
added in accordance with Section 4d of this Law.
| ||||||
6 | All suits or other proceedings brought for the purpose of | ||||||
7 | recovering any
taxes, interest or penalties due the State of | ||||||
8 | Illinois under this Act may
be maintained in the name of the | ||||||
9 | Department.
| ||||||
10 | (Source: P.A. 93-32, eff. 6-20-03.)
| ||||||
11 | (35 ILCS 505/6a) (from Ch. 120, par. 422a)
| ||||||
12 | Sec. 6a. Collection of tax; suppliers. A supplier, other | ||||||
13 | than a licensed
distributor, who sells or
distributes any | ||||||
14 | special fuel, which he is required by Section 5a to report
to | ||||||
15 | the Department when filing a return, shall (except as | ||||||
16 | hereinafter
provided) collect at the time of such sale and | ||||||
17 | distribution, the amount of
tax imposed under this Act on all | ||||||
18 | such special fuel sold and distributed,
and at the time of | ||||||
19 | making a return, the supplier shall pay to the
Department the | ||||||
20 | amount so collected less a discount of 2% through June 30,
2003 | ||||||
21 | and beginning again on the effective date of this amendatory | ||||||
22 | Act of the 96th General Assembly and 1.75% for the period | ||||||
23 | beginning on July 1, 2003 until the effective date of this | ||||||
24 | amendatory Act of the 96th General Assembly
thereafter which
is | ||||||
25 | allowed
to reimburse the supplier for the expenses incurred in |
| |||||||
| |||||||
1 | keeping records,
preparing and filing returns, collecting and | ||||||
2 | remitting the tax and
supplying data to the Department on | ||||||
3 | request, and shall also pay to the
Department an amount equal | ||||||
4 | to the amount that would be collectible as a tax
in the event | ||||||
5 | of a sale thereof on all such special fuel used by said
| ||||||
6 | supplier during the period covered by the return. However,
no | ||||||
7 | payment shall be made based upon dyed diesel fuel used by said
| ||||||
8 | supplier for non-highway purposes.
The discount
shall only be | ||||||
9 | applicable to the amount of tax payment which accompanies a
| ||||||
10 | return which is filed timely in accordance with Section 5(a) of | ||||||
11 | this Act.
In each subsequent sale of special fuel on which the | ||||||
12 | amount of tax imposed
under this Act has been collected as | ||||||
13 | provided in this Section, the amount
so collected shall be | ||||||
14 | added to the selling price, so that the amount of tax
is paid | ||||||
15 | ultimately by the user of the special fuel. However,
no | ||||||
16 | collection or payment shall be made in the case of the sale or | ||||||
17 | use of
any special fuel to the extent to which such sale or use | ||||||
18 | of motor fuel
may not, under the Constitution and statutes of | ||||||
19 | the United States, be made
the subject of taxation by this | ||||||
20 | State.
| ||||||
21 | A person whose license to act as supplier of special fuel | ||||||
22 | has been revoked
shall, at the time of making a return, also | ||||||
23 | pay to the Department an amount
equal to the amount that would | ||||||
24 | be collectible as a tax in the event of a
sale thereof on all | ||||||
25 | special fuel, which he is required by the 1st paragraph
of | ||||||
26 | Section 5a to report to the Department in making a return.
|
| |||||||
| |||||||
1 | A supplier may make tax-free sales of special fuel, with | ||||||
2 | respect to which
he is otherwise required to collect the tax, | ||||||
3 | when the motor fuel is
delivered from a dispensing facility | ||||||
4 | that has withdrawal
facilities capable of dispensing special | ||||||
5 | fuel into the fuel supply tanks of
motor vehicles only as | ||||||
6 | specified in the following items 1, 2, and 3. A
supplier may | ||||||
7 | make tax-free sales of special fuel, with respect to which
he | ||||||
8 | is otherwise required to collect the tax, when the special fuel | ||||||
9 | is delivered
from other facilities only as specified in the | ||||||
10 | following items 1 through
7.
| ||||||
11 | 1. When the sale is made to the federal government or | ||||||
12 | its
instrumentalities.
| ||||||
13 | 2. When the sale is made to a municipal corporation | ||||||
14 | owning and operating
a local transportation system for | ||||||
15 | public service in this State when an
official certificate | ||||||
16 | of exemption is obtained in lieu of the tax.
| ||||||
17 | 3. When the sale is made to a privately owned public | ||||||
18 | utility owning and
operating 2 axle vehicles designed and | ||||||
19 | used for transporting more than 7
passengers, which | ||||||
20 | vehicles are used as common carriers in general
| ||||||
21 | transportation of passengers, are not devoted to any | ||||||
22 | specialized purpose
and are operated entirely within the | ||||||
23 | territorial limits of a single
municipality or of any group | ||||||
24 | of contiguous municipalities, or in a close
radius thereof, | ||||||
25 | and the operations of which are subject to the regulations
| ||||||
26 | of the Illinois Commerce Commission, when an official |
| |||||||
| |||||||
1 | certificate of
exemption is obtained in lieu of the tax.
| ||||||
2 | 4. When a sale of special fuel is made to a person | ||||||
3 | holding a valid
unrevoked license as a supplier or a | ||||||
4 | distributor by making a specific
notation thereof on | ||||||
5 | invoice or sales slip covering each such sale.
| ||||||
6 | 5. When a sale of special fuel is made to someone other | ||||||
7 | than a
licensed distributor or licensed supplier
for a use
| ||||||
8 | other than in motor vehicles, by making a specific notation | ||||||
9 | thereof on the
invoice or sales slip covering such sale and | ||||||
10 | obtaining such supporting
documentation as may be required | ||||||
11 | by the Department.
The supplier shall obtain and
keep the | ||||||
12 | supporting documentation in such form as the Department may | ||||||
13 | require by
rule.
| ||||||
14 | 6. (Blank).
| ||||||
15 | 7. When a sale of special fuel is made to a person | ||||||
16 | where delivery is
made outside of this State.
| ||||||
17 | All special fuel sold or used for non-highway purposes must | ||||||
18 | have a dye
added
in accordance with Section 4d of this Law.
| ||||||
19 | All suits or other proceedings brought for the purpose of | ||||||
20 | recovering any
taxes, interest or penalties due the State of | ||||||
21 | Illinois under this Act may
be maintained in the name of the | ||||||
22 | Department.
| ||||||
23 | (Source: P.A. 92-30, eff. 7-1-01; 93-32, eff. 6-20-03.)
| ||||||
24 | Section 40. The Coin-Operated Amusement Device and | ||||||
25 | Redemption Machine Tax Act is amended by changing Section 1, 2, |
| |||||||
| |||||||
1 | 3, and 4b as follows:
| ||||||
2 | (35 ILCS 510/1) (from Ch. 120, par. 481b.1)
| ||||||
3 | Sec. 1. There is imposed, on the privilege of operating | ||||||
4 | every
coin-in-the-slot-operated amusement device, including a | ||||||
5 | device operated
or operable by insertion of coins, tokens, | ||||||
6 | chips or similar objects, in
this State which returns to the | ||||||
7 | player thereof no money or property or
right to receive money | ||||||
8 | or property, and on the privilege of operating in
this State a | ||||||
9 | redemption machine as defined in Section 28-2 of the Criminal
| ||||||
10 | Code of 1961, a
an annual privilege tax of $15
$30 for each
| ||||||
11 | device for which a license was issued for a period beginning on | ||||||
12 | or after August 1 of any year and
prior to February
August 1 of | ||||||
13 | the succeeding year. A privilege tax of $8 is imposed on the | ||||||
14 | privilege of operating such a device for which a license was | ||||||
15 | issued for a period beginning or or after February 1 of any | ||||||
16 | year and ending July 31 of that year.
| ||||||
17 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
18 | (35 ILCS 510/2) (from Ch. 120, par. 481b.2)
| ||||||
19 | Sec. 2. (a) Any person, firm, limited liability company, or | ||||||
20 | corporation
which displays any device described in Section 1, | ||||||
21 | to be played or operated by
the public at any place owned or | ||||||
22 | leased by any such person, firm, limited
liability company, or | ||||||
23 | corporation, shall before he displays such device, file
in the | ||||||
24 | Office of the Department of Revenue an application for a |
| |||||||
| |||||||
1 | license for
a form containing information regarding such device | ||||||
2 | properly sworn to , setting
forth his name and address, with a | ||||||
3 | brief description of the device to be
displayed and the | ||||||
4 | premises where such device will be located, together
with such | ||||||
5 | other relevant data as the Department of Revenue may require.
| ||||||
6 | Such application for a license
form shall be accompanied by the
| ||||||
7 | required license
privilege tax for each device. Such license
| ||||||
8 | privilege tax shall be paid to the
Department of Revenue
of the | ||||||
9 | State of Illinois and all monies received by the Department of
| ||||||
10 | Revenue under this Act shall be paid into the General Revenue | ||||||
11 | Fund in
the State Treasury. The Department of Revenue shall | ||||||
12 | supply and deliver
to the person, firm, limited liability | ||||||
13 | company, or corporation which displays
any device described in | ||||||
14 | Section 1, charges prepaid and without additional cost,
one | ||||||
15 | license tag
privilege tax decal for each such device on which | ||||||
16 | an application is made
the
tax has been paid , stating
the year | ||||||
17 | for which issued. Such license tag
privilege tax decal shall
| ||||||
18 | thereupon be securely affixed
to such device.
| ||||||
19 | (b) If an amount of tax, penalty, or interest has
been paid | ||||||
20 | in error to the Department, the taxpayer may file a claim for | ||||||
21 | credit
or refund with the Department. If it is determined that | ||||||
22 | the Department must
issue a credit or refund under this Act, | ||||||
23 | the Department may first apply the
amount of the credit or | ||||||
24 | refund due against any amount of tax, penalty, or
interest due | ||||||
25 | under this Act from the taxpayer entitled to the credit or | ||||||
26 | refund.
If proceedings are pending to determine if any tax, |
| |||||||
| |||||||
1 | penalty, or interest is
due under this Act from the taxpayer, | ||||||
2 | the Department may withhold issuance of
the credit or refund | ||||||
3 | pending the final disposition of those proceedings and may
| ||||||
4 | apply that credit or refund against any amount determined to be | ||||||
5 | due to the
Department as a result of those proceedings. The | ||||||
6 | balance, if any, of the
credit or refund shall be paid to the | ||||||
7 | taxpayer.
| ||||||
8 | If no tax, penalty, or interest is due and no proceedings | ||||||
9 | are pending to
determine whether the taxpayer is indebted to | ||||||
10 | the Department for tax, penalty,
or interest, the credit | ||||||
11 | memorandum or refund shall be issued to the taxpayer;
or, the | ||||||
12 | credit memorandum may be assigned by the taxpayer, subject to
| ||||||
13 | reasonable rules of the Department, to any other person who is | ||||||
14 | subject to this
Act, and the amount of the credit memorandum by | ||||||
15 | the Department against any tax,
penalty, or interest due or to | ||||||
16 | become due under this Act from the assignee.
| ||||||
17 | For any claim for credit or refund filed with the | ||||||
18 | Department on or after
each July 1, no amount erroneously paid | ||||||
19 | more than 3 years before that July 1,
shall be credited or | ||||||
20 | refunded.
| ||||||
21 | A claim for credit or refund shall be filed on a form | ||||||
22 | provided by the
Department. As soon as practicable after any | ||||||
23 | claim for credit or refund is
filed, the Department shall | ||||||
24 | determine the amount of credit or refund to which
the claimant | ||||||
25 | is entitled and shall notify the claimant of that | ||||||
26 | determination.
|
| |||||||
| |||||||
1 | A claim for credit or refund shall be filed with the | ||||||
2 | Department on the date
it is received by the Department. Upon | ||||||
3 | receipt of any claim for credit or
refund filed under this | ||||||
4 | Section, an officer or employee of the Department,
authorized | ||||||
5 | by the Director of Revenue to acknowledge receipt of such | ||||||
6 | claims on
behalf of the Department, shall deliver or mail to | ||||||
7 | the claimant or his duly
authorized agent, a written receipt, | ||||||
8 | acknowledging that the claim has been
filed with the | ||||||
9 | Department, describing the claim in sufficient detail to
| ||||||
10 | identify it, and stating the date on which the claim was | ||||||
11 | received by the
Department. The written receipt shall be prima | ||||||
12 | facie evidence that the
Department received the claim described | ||||||
13 | in the receipt and shall be prima facie
evidence of the date | ||||||
14 | when such claim was received by the Department. In the
absence | ||||||
15 | of a written receipt, the records of the Department as to | ||||||
16 | whether a
claim was received, or when the claim was received by | ||||||
17 | the Department, shall be
deemed to be prima facie correct in | ||||||
18 | the event of any dispute between the
claimant, or his legal | ||||||
19 | representative, and the Department on these issues.
| ||||||
20 | Any credit or refund that is allowed under this Article | ||||||
21 | shall bear interest
at the rate and in the manner specified in | ||||||
22 | the Uniform Penalty and Interest
Act.
| ||||||
23 | If the Department determines that the claimant is entitled | ||||||
24 | to a refund, the
refund shall be made only from an | ||||||
25 | appropriation to the Department for that
purpose. If the amount | ||||||
26 | appropriated is insufficient to pay claimants electing
to
|
| |||||||
| |||||||
1 | receive a cash refund, the Department by rule or regulation | ||||||
2 | shall first provide
for the payment of refunds in hardship | ||||||
3 | cases as defined by the Department.
| ||||||
4 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
5 | (35 ILCS 510/3) (from Ch. 120, par. 481b.3)
| ||||||
6 | Sec. 3. Transfer of decals; affixing decals.
| ||||||
7 | (1) All licenses
privilege tax decals herein provided for
| ||||||
8 | shall be transferable from
one device to another device. Any | ||||||
9 | such transfer from one device to another
shall be reported to | ||||||
10 | the Department of Revenue on forms prescribed by such
| ||||||
11 | Department. All licenses
privilege tax decals issued hereunder | ||||||
12 | shall
expire on July 31
following issuance.
| ||||||
13 | (2) All privilege tax decals must be securely affixed to | ||||||
14 | the device. A decal that is attached to a device behind a | ||||||
15 | transparent plate or covering that is screwed, bolted, or | ||||||
16 | otherwise securely fastened to the device is deemed to be | ||||||
17 | securely affixed for the purposes of this Section.
| ||||||
18 | (Source: P.A. 93-32, eff. 7-1-03; 94-742, eff. 5-8-06.)
| ||||||
19 | (35 ILCS 510/4b) (from Ch. 120, par. 481b.4b)
| ||||||
20 | Sec. 4b. The Department of Revenue is hereby authorized to | ||||||
21 | implement a
program whereby the licenses
privilege tax decals | ||||||
22 | required by and the
taxes imposed by this Act
may be | ||||||
23 | distributed and collected on behalf of the Department by State | ||||||
24 | or
national banks and by State or federal savings and loan |
| |||||||
| |||||||
1 | associations. The
Department shall promulgate such rules and | ||||||
2 | regulations as are reasonable
and necessary to establish the | ||||||
3 | system of collection of taxes and
distribution of licenses
| ||||||
4 | privilege tax decals authorized by this
Section. Such rules and
| ||||||
5 | regulations shall provide for the licensing of such financial | ||||||
6 | institutions,
specification of information to be disclosed in | ||||||
7 | an application therefor and
the imposition of a license fee not | ||||||
8 | in excess of $100 annually.
| ||||||
9 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
10 | Section 45. The Illinois Pension Code is amended by | ||||||
11 | changing Section 1A-112 as follows:
| ||||||
12 | (40 ILCS 5/1A-112)
| ||||||
13 | Sec. 1A-112. Fees.
| ||||||
14 | (a) Every pension fund that is required to file an annual | ||||||
15 | statement under
Section 1A-109 shall pay to the Department an | ||||||
16 | annual compliance fee. In the
case of a pension fund under | ||||||
17 | Article 3 or 4 of this Code, the annual compliance
fee shall be | ||||||
18 | 0.007%
0.02% ( 0.7
2 basis points) of the total
assets of the | ||||||
19 | pension
fund, as reported in the most current annual statement | ||||||
20 | of the fund, but not
more than $6,000
$8,000 . In the case of | ||||||
21 | all other pension funds and
retirement
systems, the annual | ||||||
22 | compliance fee shall be $6,000
$8,000 .
| ||||||
23 | (b) The annual compliance fee shall be due on June 30 for | ||||||
24 | the following
State fiscal year, except that the fee payable in |
| |||||||
| |||||||
1 | 1997 for fiscal year 1998
shall be due no earlier than 30 days | ||||||
2 | following the effective date of this
amendatory Act of 1997.
| ||||||
3 | (c) Any information obtained by the Division that is | ||||||
4 | available to the public
under the Freedom of Information Act | ||||||
5 | and is either compiled in published form
or maintained on a | ||||||
6 | computer processible medium shall be furnished upon the
written | ||||||
7 | request of any applicant and the payment of a reasonable | ||||||
8 | information
services fee established by the Director, | ||||||
9 | sufficient to cover the total cost to
the Division of | ||||||
10 | compiling, processing, maintaining, and generating the
| ||||||
11 | information. The information may be furnished by means of | ||||||
12 | published copy or on
a computer processed or computer | ||||||
13 | processible medium.
| ||||||
14 | No fee may be charged to any person for information that | ||||||
15 | the Division is
required by law to furnish to that person.
| ||||||
16 | (d) Except as otherwise provided in this Section, all fees | ||||||
17 | and penalties
collected by the Department under this Code shall | ||||||
18 | be deposited into the Public
Pension Regulation Fund.
| ||||||
19 | (e) Fees collected under subsection (c) of this Section and | ||||||
20 | money collected
under Section 1A-107 shall be deposited into | ||||||
21 | the Department's Statistical
Services Revolving Fund and | ||||||
22 | credited to the account of the Public Pension
Division. This | ||||||
23 | income shall be used exclusively for the
purposes set forth in | ||||||
24 | Section 1A-107. Notwithstanding the provisions of
Section | ||||||
25 | 408.2 of the Illinois Insurance Code, no surplus funds | ||||||
26 | remaining in
this account shall be deposited in the Insurance |
| |||||||
| |||||||
1 | Financial Regulation Fund.
All money in this account that the | ||||||
2 | Director certifies is not needed for the
purposes set forth in | ||||||
3 | Section 1A-107 of this Code shall be transferred to the
Public | ||||||
4 | Pension Regulation Fund.
| ||||||
5 | (f) Nothing in this Code prohibits the General Assembly | ||||||
6 | from appropriating
funds from the General Revenue Fund to the | ||||||
7 | Department for the purpose of
administering or enforcing this | ||||||
8 | Code.
| ||||||
9 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
10 | Section 50. The Illinois Savings and Loan Act of 1985 is | ||||||
11 | amended by changing Section 2B-6 as follows:
| ||||||
12 | (205 ILCS 105/2B-6) (from Ch. 17, par. 3302B-6)
| ||||||
13 | Sec. 2B-6. Foreign savings and loan associations shall pay | ||||||
14 | to the
Commissioner the following fees that shall be paid into | ||||||
15 | the Savings and
Residential Finance Regulatory Fund, to wit: | ||||||
16 | For filing each application
for admission to do business in | ||||||
17 | this State, $750
$1,125 ; and for each
certificate
of authority | ||||||
18 | and annual renewal of same, $200
$300 .
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
20 | Section 55. The Illinois Credit Union Act is amended by | ||||||
21 | changing Section 12 as follows: | ||||||
22 | (205 ILCS 305/12) (from Ch. 17, par. 4413) |
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
1 | Sec. 12. Regulatory fees.
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
2 | (1) A credit union regulated by the Department shall pay a | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
3 | regulatory
fee to the Department based upon its total assets as | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
4 | shown by its Year-end
Call Report at the following rates:
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
|
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
16 | (2) The Director shall review the regulatory fee schedule | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
17 | in subsection
(1) and the projected earnings on those fees on | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
18 | an annual
basis
and adjust the fee schedule no more than 5% | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
19 | annually
if necessary to defray the estimated administrative | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
20 | and operational expenses of
the Department as defined in | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
21 | subsection (5). The Director shall provide credit
unions with | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
22 | written notice of any adjustment made in the regulatory fee
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
23 | schedule.
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
24 | (3) Not later than March 1 of each calendar year, a credit |
| |||||||
| |||||||
1 | union shall
pay to the Department a regulatory fee
for that | ||||||
2 | calendar year in accordance with the regulatory fee schedule in
| ||||||
3 | subsection (1), on the basis of assets as
of the Year-end Call | ||||||
4 | Report of the preceding year. The regulatory fee shall
not be | ||||||
5 | less than
$100 or more than $125,000
$187,500 , provided that | ||||||
6 | the
regulatory fee cap of $125,000
$187,500
shall be adjusted | ||||||
7 | to incorporate the same percentage increase as the Director
| ||||||
8 | makes in the regulatory fee schedule from time to time under | ||||||
9 | subsection (2).
No regulatory
fee
shall be collected
from a | ||||||
10 | credit union until it
has been in operation for one year.
| ||||||
11 | (4) The aggregate of all fees collected by the Department | ||||||
12 | under this
Act
shall be paid promptly after they are received,
| ||||||
13 | accompanied by a detailed
statement thereof, into the State | ||||||
14 | Treasury and shall be set apart in the
Credit Union Fund, a | ||||||
15 | special fund hereby created in the State treasury.
The amount | ||||||
16 | from time to time deposited in the Credit Union Fund and shall
| ||||||
17 | be used to offset the ordinary administrative and operational | ||||||
18 | expenses of
the Department under
this Act. All earnings | ||||||
19 | received from investments of funds in the Credit
Union Fund | ||||||
20 | shall be deposited into the Credit Union Fund and may be used | ||||||
21 | for
the same purposes as fees deposited into that Fund.
Moneys | ||||||
22 | in the Credit Union Fund may be transferred to the Professions | ||||||
23 | Indirect Cost Fund, as authorized under Section 2105-300 of the | ||||||
24 | Department of Professional Regulation Law of the Civil | ||||||
25 | Administrative Code of Illinois.
| ||||||
26 | (5) The administrative and operational expenses for any |
| |||||||
| |||||||
1 | calendar
year shall mean the ordinary
and contingent expenses | ||||||
2 | for that year incidental to making the examinations
provided | ||||||
3 | for by, and for administering, this Act, including all salaries
| ||||||
4 | and other compensation paid for personal services rendered for | ||||||
5 | the State by
officers or employees of the State to enforce this | ||||||
6 | Act; all expenditures
for telephone and telegraph charges, | ||||||
7 | postage and postal charges, office
supplies and services, | ||||||
8 | furniture and equipment, office space and
maintenance thereof, | ||||||
9 | travel expenses and other necessary expenses; all to
the extent | ||||||
10 | that such expenditures are directly incidental to such
| ||||||
11 | examination or administration.
| ||||||
12 | (6) When the aggregate of all fees collected by the | ||||||
13 | Department under
this Act
and all earnings thereon for any | ||||||
14 | calendar year exceeds 150% of the
total
administrative and | ||||||
15 | operational
expenses under this Act for that year, such excess | ||||||
16 | shall be credited to
credit unions and applied against their | ||||||
17 | regulatory fees for
the subsequent year. The amount credited to | ||||||
18 | a credit union shall be in the
same proportion as the fee paid | ||||||
19 | by such credit union for the
calendar year in which the excess | ||||||
20 | is produced bears to the aggregate of the
fees collected by the | ||||||
21 | Department
under this Act for the same year.
| ||||||
22 | (7) Examination fees for the year 2000 statutory | ||||||
23 | examinations paid
pursuant to the examination fee schedule in | ||||||
24 | effect at that time shall be
credited toward the regulatory fee | ||||||
25 | to be assessed the credit union in calendar
year 2001.
| ||||||
26 | (8) Nothing in this Act shall prohibit the General Assembly |
| |||||||
| |||||||
1 | from
appropriating funds to the Department from the General | ||||||
2 | Revenue Fund for the
purpose of administering this Act.
| ||||||
3 | (Source: P.A. 93-32, eff. 7-1-03; 93-652, eff. 1-8-04; 94-91, | ||||||
4 | eff. 7-1-05.)
| ||||||
5 | Section 60. The Currency Exchange Act is amended by | ||||||
6 | changing Section 16 as follows:
| ||||||
7 | (205 ILCS 405/16) (from Ch. 17, par. 4832)
| ||||||
8 | Sec. 16. Annual report; investigation; costs. Each | ||||||
9 | licensee shall
annually, on or before the 1st day of
March, | ||||||
10 | file a report with the Director for the
calendar year period
| ||||||
11 | from January 1st through December 31st, except that the
report | ||||||
12 | filed on or before March 15, 1990 shall cover the period from
| ||||||
13 | October 1, 1988 through December 31, 1989, (which
shall be used | ||||||
14 | only for
the official purposes of the Director) giving such | ||||||
15 | relevant information
as the Director may reasonably require | ||||||
16 | concerning, and for the purpose
of examining, the business and | ||||||
17 | operations during the preceding fiscal
year period of each | ||||||
18 | licensed currency exchange conducted by such
licensee within | ||||||
19 | the State. Such report shall be made under oath and
shall be in | ||||||
20 | the form prescribed by the Director and the Director may at
any | ||||||
21 | time and shall at least once in each year investigate the | ||||||
22 | currency
exchange business of any licensee and of every person, | ||||||
23 | partnership,
association, limited liability company, and | ||||||
24 | corporation who or which shall
be engaged in the
business of |
| |||||||
| |||||||
1 | operating a currency exchange. For that purpose, the
Director | ||||||
2 | shall have free access to the offices and places of business
| ||||||
3 | and to such records of all such persons, firms, partnerships,
| ||||||
4 | associations, limited liability companies and members thereof, | ||||||
5 | and
corporations and to the officers and directors thereof
that | ||||||
6 | shall relate to such currency exchange business.
The | ||||||
7 | investigation may be conducted in conjunction with | ||||||
8 | representatives of
other State agencies or agencies of another | ||||||
9 | state or of the United States as
determined by the Director.
| ||||||
10 | The Director may
at any time inspect the locations
served by an | ||||||
11 | ambulatory currency exchange, for the purpose of
determining | ||||||
12 | whether such currency exchange is complying with the
provisions | ||||||
13 | of this Act at each location served. The Director may require
| ||||||
14 | by subpoena the attendance of and examine under oath all | ||||||
15 | persons whose
testimony he may require relative to such | ||||||
16 | business, and in such cases
the Director, or any qualified | ||||||
17 | representative of the Director whom the
Director may designate, | ||||||
18 | may administer oaths to all such persons called
as witnesses, | ||||||
19 | and the Director, or any such qualified representative of
the | ||||||
20 | Director, may conduct such examinations, and there shall be | ||||||
21 | paid to
the Director for each such examination a fee of $150
| ||||||
22 | $225 for each day
or part
thereof for each qualified | ||||||
23 | representative designated and required to
conduct the | ||||||
24 | examination; provided, however, that in the case of an
| ||||||
25 | ambulatory currency exchange, such fee shall be $75 for each | ||||||
26 | day or part
thereof and shall not be increased by reason
of the |
| |||||||
| |||||||
1 | number of locations served by it.
| ||||||
2 | (Source: P.A. 92-398, eff. 1-1-02; 93-32, eff. 7-1-03.)
| ||||||
3 | Section 65. The Residential Mortgage License Act of 1987 is | ||||||
4 | amended by changing Sections 2-2 and 2-6 as follows:
| ||||||
5 | (205 ILCS 635/2-2) (from Ch. 17, par. 2322-2)
| ||||||
6 | Sec. 2-2. Application process; investigation; fee.
| ||||||
7 | (a) The Commissioner shall issue a license upon completion | ||||||
8 | of all of the
following:
| ||||||
9 | (1) The filing of an application for license.
| ||||||
10 | (2) The filing with the Commissioner of a listing of | ||||||
11 | judgments entered
against, and bankruptcy petitions by, | ||||||
12 | the license applicant for the
preceding 10 years.
| ||||||
13 | (3) The payment, in certified funds, of
investigation | ||||||
14 | and application fees, the total of which shall be in an
| ||||||
15 | amount equal to $1,800
$2,700 annually, however, the | ||||||
16 | Commissioner may
increase the
investigation and | ||||||
17 | application fees by rule as provided in Section 4-11.
| ||||||
18 | (4) Except for a broker applying to renew a license, | ||||||
19 | the filing of an
audited balance sheet including all | ||||||
20 | footnotes prepared by a certified public
accountant in | ||||||
21 | accordance with generally accepted accounting principles | ||||||
22 | and
generally accepted auditing principles which evidences | ||||||
23 | that the applicant meets
the net worth requirements of | ||||||
24 | Section 3-5.
|
| |||||||
| |||||||
1 | (5) The filing of proof satisfactory to the | ||||||
2 | Commissioner that the
applicant, the members thereof if the | ||||||
3 | applicant is a partnership or
association, the members or | ||||||
4 | managers thereof that retain any authority or
| ||||||
5 | responsibility under the operating agreement if the | ||||||
6 | applicant is a limited
liability company, or the officers | ||||||
7 | thereof if the applicant
is a corporation have 3 years | ||||||
8 | experience preceding application
in real estate finance. | ||||||
9 | Instead of this requirement, the applicant and the
| ||||||
10 | applicant's officers or members, as applicable, may
| ||||||
11 | satisfactorily complete a program of education in real | ||||||
12 | estate finance and
fair lending, as
approved by the | ||||||
13 | Commissioner, prior to receiving the
initial license.
The | ||||||
14 | Commissioner shall promulgate rules regarding proof of | ||||||
15 | experience
requirements and educational requirements and | ||||||
16 | the satisfactory completion of
those requirements. The | ||||||
17 | Commissioner may establish by rule a list of duly
licensed | ||||||
18 | professionals and others who may be exempt from this | ||||||
19 | requirement.
| ||||||
20 | (6) An investigation of the averments required by | ||||||
21 | Section 2-4, which
investigation must allow the | ||||||
22 | Commissioner to issue positive findings stating
that the | ||||||
23 | financial responsibility, experience, character, and | ||||||
24 | general fitness
of the license applicant and of the members | ||||||
25 | thereof if the license applicant is
a partnership or | ||||||
26 | association, of the officers and directors thereof if the
|
| |||||||
| |||||||
1 | license applicant is a corporation, and of the managers and | ||||||
2 | members that retain
any authority or responsibility under | ||||||
3 | the operating agreement if the license
applicant is a | ||||||
4 | limited liability company are such as to command the | ||||||
5 | confidence
of the community and to warrant belief that the | ||||||
6 | business will be operated
honestly, fairly and efficiently | ||||||
7 | within the purpose of this Act. If the
Commissioner shall | ||||||
8 | not so find, he or she shall not issue such license, and he
| ||||||
9 | or she shall notify the license applicant of the denial. | ||||||
10 | The Commissioner may impose conditions on a license if the | ||||||
11 | Commissioner determines that the conditions are necessary or | ||||||
12 | appropriate. These conditions shall be imposed in writing and | ||||||
13 | shall continue in effect for the period prescribed by the | ||||||
14 | Commissioner.
| ||||||
15 | (b) All licenses shall be issued in duplicate with one copy
| ||||||
16 | being transmitted to the license applicant and the second being
| ||||||
17 | retained with the Commissioner.
| ||||||
18 | Upon receipt of such license, a residential mortgage | ||||||
19 | licensee shall be
authorized to engage in the business | ||||||
20 | regulated by this Act. Such license
shall remain in full force | ||||||
21 | and effect until it expires without renewal, is
surrendered by | ||||||
22 | the licensee or revoked or suspended as hereinafter provided.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03; 93-1018, eff. 1-1-05.)
| ||||||
24 | (205 ILCS 635/2-6) (from Ch. 17, par. 2322-6)
| ||||||
25 | Sec. 2-6. License issuance and renewal; fee.
|
| |||||||
| |||||||
1 | (a) Beginning July 1, 2003, licenses shall be renewed every | ||||||
2 | year on the
anniversary of the date of issuance of the original | ||||||
3 | license.
Properly completed renewal application forms and | ||||||
4 | filing fees must be received
by the Commissioner 60 days prior | ||||||
5 | to the renewal date.
| ||||||
6 | (b) It shall be the responsibility of each licensee to | ||||||
7 | accomplish renewal
of its license; failure of the licensee to | ||||||
8 | receive renewal forms absent a
request sent by certified mail | ||||||
9 | for such forms will not waive said
responsibility. Failure by a | ||||||
10 | licensee to submit a properly completed
renewal application | ||||||
11 | form and fees in a timely fashion, absent a written
extension | ||||||
12 | from the Commissioner, will result in the assessment of
| ||||||
13 | additional fees, as follows:
| ||||||
14 | (1) A fee of $500
$750 will be assessed to the licensee | ||||||
15 | 30 days
after the
proper renewal date and $1,000
$1,500 | ||||||
16 | each month thereafter, until the
license is
either renewed | ||||||
17 | or expires pursuant to Section 2-6, subsections (c) and | ||||||
18 | (d),
of this Act.
| ||||||
19 | (2) Such fee will be assessed without prior notice to | ||||||
20 | the licensee, but
will be assessed only in cases wherein | ||||||
21 | the Commissioner has in his or her
possession documentation | ||||||
22 | of the licensee's continuing activity for which
the | ||||||
23 | unrenewed license was issued.
| ||||||
24 | (c) A license which is not renewed by the date required in | ||||||
25 | this Section
shall automatically become inactive. No activity | ||||||
26 | regulated by this Act
shall be conducted by the licensee when a |
| |||||||
| |||||||
1 | license becomes inactive. The Commissioner may require the | ||||||
2 | licensee to provide a plan for the disposition of any | ||||||
3 | residential mortgage loans not closed or funded when the | ||||||
4 | license becomes inactive. The Commissioner may allow a licensee | ||||||
5 | with an inactive license to conduct activities regulated by | ||||||
6 | this Act for the sole purpose of assisting borrowers in the | ||||||
7 | closing or funding of loans for which the loan application was | ||||||
8 | taken from a borrower while the license was active. An
inactive | ||||||
9 | license may be reactivated by the Commissioner upon payment of | ||||||
10 | the renewal fee, and payment
of a reactivation fee equal to the | ||||||
11 | renewal fee.
| ||||||
12 | (d) A license which is not renewed within one year of | ||||||
13 | becoming inactive
shall expire.
| ||||||
14 | (e) A licensee ceasing an activity or activities regulated | ||||||
15 | by this Act
and desiring to no longer be licensed shall so | ||||||
16 | inform the Commissioner in
writing and, at the same time, | ||||||
17 | convey the license and all other symbols or
indicia of | ||||||
18 | licensure. The licensee shall include a plan for the withdrawal
| ||||||
19 | from regulated business, including a timetable for the | ||||||
20 | disposition of the
business. Upon receipt of such written | ||||||
21 | notice, the Commissioner shall issue
a certified statement | ||||||
22 | canceling the license.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03; 93-561, eff. 1-1-04; 93-1018, | ||||||
24 | eff. 1-1-05.)
| ||||||
25 | Section 70. The Consumer Installment Loan Act is amended by |
| |||||||
| |||||||
1 | changing Section 2 as follows:
| ||||||
2 | (205 ILCS 670/2) (from Ch. 17, par. 5402)
| ||||||
3 | Sec. 2. Application; fees; positive net worth. Application | ||||||
4 | for such license shall be in writing, and in the
form | ||||||
5 | prescribed by the Director. Such
applicant at the time of | ||||||
6 | making such application shall pay to the
Director the sum of | ||||||
7 | $300 as an application fee and the additional
sum of $300
$450
| ||||||
8 | as an annual license
fee, for a period terminating on the last | ||||||
9 | day of the current
calendar year; provided that if the | ||||||
10 | application is filed after June 30th
in any year, such license | ||||||
11 | fee shall be 1/2 of the annual license fee
for such year.
| ||||||
12 | Before the license is granted, every applicant shall prove | ||||||
13 | in form
satisfactory to the Director that the applicant has and | ||||||
14 | will maintain a
positive net
worth of a minimum of $30,000. | ||||||
15 | Every applicant and licensee shall maintain
a surety bond in
| ||||||
16 | the
principal sum of $25,000 issued by a bonding company | ||||||
17 | authorized
to do
business in this State and which shall be | ||||||
18 | approved by the Director. Such
bond shall run to the Director | ||||||
19 | and shall be for the benefit of any consumer
who incurs damages | ||||||
20 | as a result of any violation of the Act or rules by a
licensee. | ||||||
21 | If
the Director finds at any time that a bond is of | ||||||
22 | insufficient size, is
insecure, exhausted, or otherwise | ||||||
23 | doubtful, an additional bond in such
amount as determined by | ||||||
24 | the Director shall be filed by the licensee within
30 days | ||||||
25 | after written demand therefor by the Director.
"Net worth" |
| |||||||
| |||||||
1 | means total assets minus total liabilities.
| ||||||
2 | (Source: P.A. 92-398, eff. 1-1-02; 93-32, eff. 7-1-03.)
| ||||||
3 | Section 75. The Nursing Home Care Act is amended by | ||||||
4 | changing Section 3-103 as follows:
| ||||||
5 | (210 ILCS 45/3-103) (from Ch. 111 1/2, par. 4153-103)
| ||||||
6 | Sec. 3-103. The procedure for obtaining a valid license | ||||||
7 | shall be as follows:
| ||||||
8 | (1) Application to operate a facility shall be made to
| ||||||
9 | the Department on forms furnished by the Department.
| ||||||
10 | (2)
All applications, except those of homes for the | ||||||
11 | aged, shall be
accompanied by an application fee of $200 | ||||||
12 | for an annual license
and $400
for a 2-year license. The | ||||||
13 | fee shall be
deposited with the State Treasurer into the | ||||||
14 | Long Term Care Monitor/Receiver
Fund, which is hereby | ||||||
15 | created as a special fund in the State Treasury.
All | ||||||
16 | license applications shall be accompanied with an | ||||||
17 | application fee.
The fee
for an annual license shall be | ||||||
18 | $995. Facilities that pay a fee or assessment pursuant to | ||||||
19 | Article V-C of the Illinois Public Aid Code shall be exempt | ||||||
20 | from the license fee imposed under this item (2). The fee | ||||||
21 | for a 2-year
license shall be double the fee for the annual | ||||||
22 | license set forth in the
preceding sentence. The
fees | ||||||
23 | collected
shall be deposited with the State Treasurer into | ||||||
24 | the Long Term Care
Monitor/Receiver Fund, which has been |
| |||||||
| |||||||
1 | created as a special fund in the State
treasury.
This | ||||||
2 | special fund is to be used by the Department for expenses | ||||||
3 | related to
the appointment of monitors and receivers as | ||||||
4 | contained in Sections 3-501
through 3-517 of this Act and | ||||||
5 | for implementation of the Abuse Prevention Review Team Act. | ||||||
6 | At the end of each fiscal year, any funds in excess of
| ||||||
7 | $1,000,000 held in the Long Term Care Monitor/Receiver Fund | ||||||
8 | shall be
deposited in the State's General Revenue Fund. The | ||||||
9 | application shall be under
oath and the submission of false | ||||||
10 | or misleading information shall be a Class
A misdemeanor. | ||||||
11 | The application shall contain the following information:
| ||||||
12 | (a) The name and address of the applicant if an | ||||||
13 | individual, and if a firm,
partnership, or | ||||||
14 | association, of every member thereof, and in the case | ||||||
15 | of
a corporation, the name and address thereof and of | ||||||
16 | its officers and its
registered agent, and in the case | ||||||
17 | of a unit of local government, the name
and address of | ||||||
18 | its chief executive officer;
| ||||||
19 | (b) The name and location of the facility for which | ||||||
20 | a license is sought;
| ||||||
21 | (c) The name of the person or persons under whose | ||||||
22 | management or
supervision
the facility will be | ||||||
23 | conducted;
| ||||||
24 | (d) The number and type of residents for which | ||||||
25 | maintenance, personal care,
or nursing is to be | ||||||
26 | provided; and
|
| |||||||
| |||||||
1 | (e) Such information relating to the number, | ||||||
2 | experience, and training
of the employees of the | ||||||
3 | facility, any management agreements for the operation
| ||||||
4 | of the facility, and of the moral character of the | ||||||
5 | applicant and employees
as the Department may deem | ||||||
6 | necessary.
| ||||||
7 | (3) Each initial application shall be accompanied by a | ||||||
8 | financial
statement setting forth the financial condition | ||||||
9 | of the applicant and by a
statement from the unit of local | ||||||
10 | government having zoning jurisdiction over
the facility's | ||||||
11 | location stating that the location of the facility is not | ||||||
12 | in
violation of a zoning ordinance. An initial application | ||||||
13 | for a new facility
shall be accompanied by a permit as | ||||||
14 | required by the "Illinois Health Facilities
Planning Act". | ||||||
15 | After the application is approved, the applicant shall
| ||||||
16 | advise the Department every 6 months of any changes in the | ||||||
17 | information
originally provided in the application.
| ||||||
18 | (4) Other information necessary to determine the | ||||||
19 | identity and qualifications
of an applicant to operate a | ||||||
20 | facility in accordance with this Act shall
be included in | ||||||
21 | the application as required by the Department in | ||||||
22 | regulations.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03; 93-841, eff. 7-30-04; 94-931, | ||||||
24 | eff. 6-26-06.)
| ||||||
25 | Section 80. The Illinois Insurance Code is amended by |
| |||||||
| |||||||
1 | changing Sections 121-19, 123A-4, 123B-4, 123C-17, 131.24, | ||||||
2 | 141a, 149, 310.1, 315.4, 325, 363a, 370, 403, 403A, 408, 412, | ||||||
3 | 431, 445, 500-70, 500-110, 500-120, 500-135, 511.103, 511.105, | ||||||
4 | 511.110, 512.63, 513a3, 513a4, 513a7, 529.5, 1020, 1108, and | ||||||
5 | 1204 as follows:
| ||||||
6 | (215 ILCS 5/121-19) (from Ch. 73, par. 733-19)
| ||||||
7 | Sec. 121-19. Fine for unauthorized insurance. Any | ||||||
8 | unauthorized insurer who transacts any unauthorized act of an
| ||||||
9 | insurance business as set forth in this Act is guilty of a | ||||||
10 | business offense
and may be fined not more than $10,000
| ||||||
11 | $20,000 .
| ||||||
12 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
13 | (215 ILCS 5/123A-4) (from Ch. 73, par. 735A-4)
| ||||||
14 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
15 | Sec. 123A-4. Licenses - Application - Fees.
| ||||||
16 | (1) An advisory organization must be licensed by the | ||||||
17 | Director before it
is authorized to conduct activities in this | ||||||
18 | State.
| ||||||
19 | (2) Any advisory organization shall make application for a | ||||||
20 | license as an
advisory organization by providing with the | ||||||
21 | application satisfactory
evidence to the Director that it has | ||||||
22 | complied with Sections 123A-6 and
123A-7 of this Article.
| ||||||
23 | (3) The fee for filing an application as an advisory | ||||||
24 | organization is $25 $50
payable to the Director.
|
| |||||||
| |||||||
1 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
2 | (215 ILCS 5/123B-4) (from Ch. 73, par. 735B-4)
| ||||||
3 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
4 | Sec. 123B-4. Risk retention groups not organized in this | ||||||
5 | State. Any risk retention group organized and licensed in a | ||||||
6 | state other than this
State and seeking to do business as a | ||||||
7 | risk retention group in this State shall
comply with the laws | ||||||
8 | of this State as follows:
| ||||||
9 | A. Notice of operations and designation of the Director as | ||||||
10 | agent.
| ||||||
11 | Before offering insurance in this State, a risk retention | ||||||
12 | group shall submit
to the Director on a form approved by the | ||||||
13 | Director:
| ||||||
14 | (1) a statement identifying the state or states in | ||||||
15 | which the risk
retention group is organized and licensed as | ||||||
16 | a liability insurance company, its
date of organization, | ||||||
17 | its principal place of business, and such other
| ||||||
18 | information, including information on its membership, as | ||||||
19 | the Director may
require to verify that the risk retention | ||||||
20 | group is qualified under subsection
(11) of Section 123B-2 | ||||||
21 | of this Article;
| ||||||
22 | (2) a copy of its plan of operations or a feasibility | ||||||
23 | study and revisions
of such plan or study submitted to its | ||||||
24 | state of domicile; provided, however,
that the provision | ||||||
25 | relating to the submission of a plan of operation or a
|
| |||||||
| |||||||
1 | feasibility study shall not apply with respect to any line | ||||||
2 | or classification of
liability insurance which (a) was | ||||||
3 | defined in the Product Liability Risk
Retention Act of 1981 | ||||||
4 | before October 27, 1986, and (b) was offered before such
| ||||||
5 | date by any risk retention group which had been organized | ||||||
6 | and operating for not
less than 3 years before such date; | ||||||
7 | and
| ||||||
8 | (3) a statement of registration which designates the | ||||||
9 | Director as its agent
for the purpose of receiving service | ||||||
10 | of legal documents or process, together
with a filing fee | ||||||
11 | of $100 $200 payable to the Director.
| ||||||
12 | B. Financial condition. Any risk retention group doing | ||||||
13 | business in this
State shall submit to the Director:
| ||||||
14 | (1) a copy of the group's financial statement submitted | ||||||
15 | to the state in
which the risk retention group is organized | ||||||
16 | and licensed, which shall be
certified by an independent | ||||||
17 | public accountant and contain a statement of
opinion on | ||||||
18 | loss and loss adjustment expense reserves made by a member | ||||||
19 | of the
American Academy of Actuaries or a qualified loss | ||||||
20 | reserve specialist (under
criteria established by the | ||||||
21 | National Association of Insurance Commissioners);
| ||||||
22 | (2) a copy of each examination of the risk retention | ||||||
23 | group as certified by
the public official conducting the | ||||||
24 | examination;
| ||||||
25 | (3) upon request by the Director, a copy of any audit | ||||||
26 | performed with
respect to the risk retention group; and
|
| |||||||
| |||||||
1 | (4) such information as may be required to verify its | ||||||
2 | continuing
qualification as a risk retention group under | ||||||
3 | subsection (11) of Section
123B-2.
| ||||||
4 | C. Taxation.
| ||||||
5 | (1) Each risk retention group shall be liable for the | ||||||
6 | payment of premium
taxes and taxes on premiums of direct | ||||||
7 | business for risks resident or located
within this State, | ||||||
8 | and shall report to the Director the net premiums written
| ||||||
9 | for risks resident or located within this State. Such risk | ||||||
10 | retention group
shall be subject to taxation, and any | ||||||
11 | applicable fines and penalties related
thereto, on the same | ||||||
12 | basis as a foreign admitted
insurer.
| ||||||
13 | (2) To the extent licensed insurance producers are | ||||||
14 | utilized pursuant to
Section 123B-11, they shall report to | ||||||
15 | the Director the premiums for direct
business for risks | ||||||
16 | resident or located within this State which such licensees
| ||||||
17 | have placed with or on behalf of a risk retention group not | ||||||
18 | organized in this
State.
| ||||||
19 | (3) To the extent that licensed insurance producers are | ||||||
20 | utilized pursuant
to Section 123B-11, each such producer | ||||||
21 | shall keep a complete and separate
record of all policies | ||||||
22 | procured from each such risk retention group, which
record | ||||||
23 | shall be open to examination by the Director, as provided | ||||||
24 | in Section
506.1 of this Code. These records shall, for | ||||||
25 | each policy and each kind of
insurance provided thereunder, | ||||||
26 | include the following:
|
| |||||||
| |||||||
1 | (a) the limit of the liability;
| ||||||
2 | (b) the time period covered;
| ||||||
3 | (c) the effective date;
| ||||||
4 | (d) the name of the risk retention group which | ||||||
5 | issued
the policy;
| ||||||
6 | (e) the gross premium charged; and
| ||||||
7 | (f) the amount of return premiums, if any.
| ||||||
8 | D. Compliance With unfair claims practices provisions. Any | ||||||
9 | risk retention
group, its agents and representatives shall be | ||||||
10 | subject to the unfair claims
practices provisions of Sections | ||||||
11 | 154.5 through 154.8 of this Code.
| ||||||
12 | E. Deceptive, false, or fraudulent practices. Any risk | ||||||
13 | retention group
shall comply with the laws of this State | ||||||
14 | regarding deceptive, false, or
fraudulent acts or practices. | ||||||
15 | However, if the Director seeks an injunction
regarding such | ||||||
16 | conduct, the injunction must be obtained from a court of
| ||||||
17 | competent jurisdiction.
| ||||||
18 | F. Examination regarding financial condition. Any risk | ||||||
19 | retention group must
submit to an examination by the Director | ||||||
20 | to determine its financial condition
if the commissioner of | ||||||
21 | insurance of the jurisdiction in which the group is
organized | ||||||
22 | and licensed has not initiated an examination or does not | ||||||
23 | initiate an
examination within 60 days after a request by the | ||||||
24 | Director. Any such
examination shall be coordinated to avoid | ||||||
25 | unjustified repetition and conducted
in an expeditious manner | ||||||
26 | and in accordance with the National Association of
Insurance |
| |||||||
| |||||||
1 | Commissioners' Examiner Handbook.
| ||||||
2 | G. Notice to purchasers. Every application form for | ||||||
3 | insurance from a
risk retention group and the front page and | ||||||
4 | declaration page of every policy
issued by a risk retention | ||||||
5 | group shall contain in 10 point type the following
notice:
| ||||||
6 | "NOTICE
| ||||||
7 | This policy is issued by your risk retention group. Your | ||||||
8 | risk retention group
is not subject to all of the insurance | ||||||
9 | laws and regulations of your state.
State insurance insolvency | ||||||
10 | guaranty fund protection is not available for your
risk | ||||||
11 | retention group".
| ||||||
12 | H. Prohibited acts regarding solicitation or sale. The | ||||||
13 | following acts by a
risk retention group are hereby prohibited:
| ||||||
14 | (1) the solicitation or sale of insurance by a risk | ||||||
15 | retention group to any
person who is not eligible for | ||||||
16 | membership in such group; and
| ||||||
17 | (2) the solicitation or sale of insurance by, or | ||||||
18 | operation of, a risk
retention group that is in a hazardous | ||||||
19 | financial condition or is financially
impaired.
| ||||||
20 | I. Prohibition on ownership by an insurance company. No | ||||||
21 | risk retention
group shall be allowed to do business in this | ||||||
22 | State if an insurance company is
directly or indirectly a | ||||||
23 | member or owner of such risk retention group, other
than in the | ||||||
24 | case of a risk retention group all of whose members are | ||||||
25 | insurance
companies.
| ||||||
26 | J. Prohibited coverage. No risk retention group may offer |
| |||||||
| |||||||
1 | insurance policy
coverage prohibited by Articles IX or XI of | ||||||
2 | this Code or declared unlawful by
the Illinois Supreme Court; | ||||||
3 | provided however, a risk retention group
organized and licensed | ||||||
4 | in a state other than this State that selects the law of
this | ||||||
5 | State to govern the validity, construction, or enforceability | ||||||
6 | of policies
issued by it is permitted to provide coverage under | ||||||
7 | policies issued by it for
penalties in the nature of | ||||||
8 | compensatory damages including, without limitation,
punitive | ||||||
9 | damages and the multiplied portion of multiple damages, so long | ||||||
10 | as
coverage of those penalties is not prohibited by the law of | ||||||
11 | the state under
which the risk retention group is organized.
| ||||||
12 | K. Delinquency proceedings. A risk retention group not | ||||||
13 | organized in this
State and doing business in this State shall | ||||||
14 | comply with a lawful order issued
in a voluntary dissolution | ||||||
15 | proceeding or in a conservation, rehabilitation,
liquidation, | ||||||
16 | or other delinquency proceeding commenced by the Director or by
| ||||||
17 | another state insurance commissioner if there has been a | ||||||
18 | finding of financial
impairment after an examination under | ||||||
19 | subsection F of Section 123B-4 of this
Article.
| ||||||
20 | L. Compliance with injunctive relief. A risk retention | ||||||
21 | group shall comply
with an injunctive order issued in another | ||||||
22 | state by a court of competent
jurisdiction or by a United | ||||||
23 | States District Court based on a finding of
financial | ||||||
24 | impairment or hazardous financial condition.
| ||||||
25 | M. Penalties. A risk retention group that violates any | ||||||
26 | provision of this
Article will be subject to fines and |
| |||||||
| |||||||
1 | penalties applicable to licensed insurers
generally, including | ||||||
2 | revocation of its license or the right to do business in
this | ||||||
3 | State, or both.
| ||||||
4 | N. Operations prior to August 3, 1987.
In addition to | ||||||
5 | complying with the requirements of this Section, any risk
| ||||||
6 | retention group operating in this State prior to August 3, | ||||||
7 | 1987, shall within
30 days after such effective date comply | ||||||
8 | with the provisions of subsection A of
this Section.
| ||||||
9 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
10 | (215 ILCS 5/123C-17) (from Ch. 73, par. 735C-17)
| ||||||
11 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
12 | Sec. 123C-17. Fees.
| ||||||
13 | A. The Director shall charge, collect, and give proper
| ||||||
14 | acquittances for the payment of the following fees and
charges | ||||||
15 | with respect to a captive insurance company:
| ||||||
16 | 1. For filing all documents submitted for the | ||||||
17 | incorporation
or organization or certification of a | ||||||
18 | captive insurance
company, $3,500 $7,000 .
| ||||||
19 | 2. For filing requests for approval of changes in
the | ||||||
20 | elements of a plan of operations, $100 $200 .
| ||||||
21 | B. Except as otherwise provided in subsection A of this | ||||||
22 | Section and in
Section 123C-10, the provisions of Section 408 | ||||||
23 | shall
apply to captive insurance companies.
| ||||||
24 | C. Any funds collected from captive insurance companies
| ||||||
25 | pursuant to this Section shall be treated in the manner
|
| |||||||
| |||||||
1 | provided in subsection (11) of Section 408.
| ||||||
2 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
3 | (215 ILCS 5/131.24) (from Ch. 73, par. 743.24)
| ||||||
4 | Sec. 131.24. Sanctions.
| ||||||
5 | (1) Every director or officer of an insurance
holding | ||||||
6 | company system who knowingly violates, participates in, or | ||||||
7 | assents
to, or who knowingly permits any of the officers or | ||||||
8 | agents of the
company to engage in transactions or make | ||||||
9 | investments which have not been
properly filed or approved or | ||||||
10 | which violate this Article, shall pay, in
their individual | ||||||
11 | capacity, a civil forfeiture of not more than $50,000
$100,000
| ||||||
12 | per violation, after notice and hearing before the Director. In | ||||||
13 | determining
the amount of the civil forfeiture, the Director | ||||||
14 | shall take into account the
appropriateness of the forfeiture | ||||||
15 | with respect to the gravity of the
violation, the history of | ||||||
16 | previous violations, and such other matters as
justice may | ||||||
17 | require.
| ||||||
18 | (2) Whenever it appears to the Director that any company | ||||||
19 | subject to this
Article or any director, officer, employee or | ||||||
20 | agent thereof has engaged in
any transaction or entered into a | ||||||
21 | contract which is subject to Section
131.20, and any one of | ||||||
22 | Sections 131.16, 131.20a, 141, 141.1, or 174 of this
Code and | ||||||
23 | which would not have been approved had such
approval been | ||||||
24 | requested or would have been disapproved had required notice
| ||||||
25 | been given, the Director may order the company to cease and
|
| |||||||
| |||||||
1 | desist immediately any further activity under that transaction | ||||||
2 | or contract.
After notice and hearing the Director may also | ||||||
3 | order (a) the company to void
any such contracts and restore | ||||||
4 | the status quo if such action is in the best
interest of the | ||||||
5 | policyholders or the public, and (b) any affiliate of the
| ||||||
6 | company, which has received from the company dividends, | ||||||
7 | distributions,
assets, loans, extensions of credit, | ||||||
8 | guarantees, or investments in
violation of any such Section, to | ||||||
9 | immediately repay, refund or restore to
the company such | ||||||
10 | dividends, distributions, assets, extensions of credit,
| ||||||
11 | guarantees or investments.
| ||||||
12 | (3) Whenever it appears to the Director that any company or | ||||||
13 | any
director, officer, employee or agent thereof has committed | ||||||
14 | a willful
violation of this Article, the Director may cause | ||||||
15 | criminal proceedings to
be instituted in the Circuit Court for | ||||||
16 | the county in which the principal
office of the company is | ||||||
17 | located or in the Circuit Court of Sangamon or
Cook County | ||||||
18 | against such company or the responsible director, officer,
| ||||||
19 | employee or agent thereof. Any company which willfully violates | ||||||
20 | this
Article commits a business offense and may be fined up to | ||||||
21 | $250,000
$500,000 . Any individual
who willfully
violates this | ||||||
22 | Article commits a Class 4 felony and may be fined in his
| ||||||
23 | individual capacity not more than $250,000
$500,000 or be | ||||||
24 | imprisoned for not less than one year nor more
than
3 years, or | ||||||
25 | both.
| ||||||
26 | (4) Any officer, director, or employee of an insurance |
| |||||||
| |||||||
1 | holding company
system who willfully and knowingly subscribes | ||||||
2 | to or makes or causes to be
made any false statements or false | ||||||
3 | reports or false filings with the intent
to deceive the | ||||||
4 | Director in the performance of his duties under this
Article, | ||||||
5 | commits a Class 3 felony and upon conviction thereof, shall be
| ||||||
6 | imprisoned for not less than 2 years nor more than
5 years or | ||||||
7 | fined $250,000
$500,000 or both. Any fines imposed shall be
| ||||||
8 | paid by
the officer, Director, or employee
in his individual | ||||||
9 | capacity.
| ||||||
10 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
11 | (215 ILCS 5/141a) (from Ch. 73, par. 753a)
| ||||||
12 | Sec. 141a. Managing general agents and retrospective | ||||||
13 | compensation
agreements.
| ||||||
14 | (a) As used in this Section, the following terms have the | ||||||
15 | following
meanings:
| ||||||
16 | "Actuary" means a person who is a member in good standing | ||||||
17 | of the American
Academy of Actuaries.
| ||||||
18 | "Gross direct written premium" means direct premium | ||||||
19 | including policy and
membership fees, net of returns and | ||||||
20 | cancellations, and prior to any cessions.
| ||||||
21 | "Insurer" means any person duly licensed in this State as | ||||||
22 | an insurance
company pursuant to Articles II, III, III 1/2, IV, | ||||||
23 | V, VI, and
XVII of this Code.
| ||||||
24 | "Managing general agent" means any person, firm, | ||||||
25 | association, or
corporation, either separately or together |
| |||||||
| |||||||
1 | with affiliates, that:
| ||||||
2 | (1) manages all or part of the insurance business of an | ||||||
3 | insurer
(including the management of a separate division, | ||||||
4 | department, or
underwriting office), and
| ||||||
5 | (2) acts as an agent for the insurer whether known as a | ||||||
6 | managing
general agent, manager, or other similar term, and
| ||||||
7 | (3) with or without the authority produces, directly or | ||||||
8 | indirectly, and underwrites:
| ||||||
9 | (A) within any one calendar quarter, an amount of | ||||||
10 | gross direct
written premium equal to or more than 5% | ||||||
11 | of the policyholders' surplus as
reported in the | ||||||
12 | insurer's last annual statement, or
| ||||||
13 | (B) within any one calendar year, an amount of | ||||||
14 | gross direct written
premium equal to or more than 8% | ||||||
15 | of the policyholders' surplus as reported
in the | ||||||
16 | insurer's last annual statement, and either
| ||||||
17 | (4) has the authority to bind the company in settlement | ||||||
18 | of individual claims in amounts in excess of $500, or
| ||||||
19 | (5) has the authority to negotiate reinsurance on
| ||||||
20 | behalf of the insurer.
| ||||||
21 | Notwithstanding the provisions of items (1) through (5), | ||||||
22 | the following
persons shall not be considered to be managing | ||||||
23 | general agents for the
purposes of this Code:
| ||||||
24 | (1) An employee of the insurer;
| ||||||
25 | (2) A U.S. manager of the United States branch of an | ||||||
26 | alien insurer;
|
| |||||||
| |||||||
1 | (3) An underwriting manager who, pursuant to a contract | ||||||
2 | meeting the
standards of Section 141.1 manages
all or part | ||||||
3 | of the insurance operations of the insurer, is
affiliated | ||||||
4 | with the
insurer, subject to Article VIII 1/2, and whose
| ||||||
5 | compensation is not
based on the volume of premiums | ||||||
6 | written;
| ||||||
7 | (4) The attorney or the attorney in fact authorized and | ||||||
8 | acting for or on
behalf of the subscriber policyholders of | ||||||
9 | a reciprocal or inter-insurance
exchange, under the terms | ||||||
10 | of the subscription agreement, power of attorney, or
policy | ||||||
11 | of insurance or the attorney in fact for any Lloyds | ||||||
12 | organization
licensed in this State.
| ||||||
13 | "Retrospective compensation
agreement" means any | ||||||
14 | arrangement, agreement, or contract having as its
purpose the | ||||||
15 | actual or constructive retention by the insurer of a fixed
| ||||||
16 | proportion of the gross premiums, with the balance of the | ||||||
17 | premiums,
retained actually or constructively by the agent or | ||||||
18 | the producer of the
business, who assumes to pay therefrom all | ||||||
19 | losses, all subordinate
commission, loss adjustment expenses, | ||||||
20 | and his profit, if any, with other
provisions of the | ||||||
21 | arrangement, agreement, or contract being auxiliary or
| ||||||
22 | incidental to that purpose.
| ||||||
23 | "Underwrite" means to accept or reject risk on behalf of | ||||||
24 | the insurer.
| ||||||
25 | (b) Licensure of managing general agents.
| ||||||
26 | (1) No person, firm, association, or corporation shall |
| |||||||
| |||||||
1 | act in the
capacity of a managing general agent with | ||||||
2 | respect to risks located in this
State for an insurer | ||||||
3 | licensed in this State unless the person is a licensed
| ||||||
4 | producer or a registered firm in this State under
Article | ||||||
5 | XXXI of this Code or a licensed third party administrator | ||||||
6 | in this
State under Article XXXI 1/4 of this Code.
| ||||||
7 | (2) No person, firm, association, or corporation shall | ||||||
8 | act in the
capacity of a managing general agent with | ||||||
9 | respect to risks located outside
this State for an insurer | ||||||
10 | domiciled in this State unless the person is
a licensed | ||||||
11 | producer or a registered firm in this State under Article | ||||||
12 | XXXI of this Code or a
licensed third party administrator | ||||||
13 | in this State under Article XXXI 1/4 of this
Code.
| ||||||
14 | (3) The managing general agent must provide a surety | ||||||
15 | bond for the benefit
of the insurer in an amount equal to | ||||||
16 | the greater of $100,000 or 5% of the gross
direct written | ||||||
17 | premium underwritten by the managing general agent on | ||||||
18 | behalf of
the insurer. The bond shall provide for a | ||||||
19 | discovery period and prior
notification of cancellation in | ||||||
20 | accordance with the rules of the Department
unless | ||||||
21 | otherwise approved in writing by the Director.
| ||||||
22 | (4) The managing general agent must maintain an errors | ||||||
23 | and omissions
policy
for the benefit of the insurer with | ||||||
24 | coverage in an amount equal to the greater
of $1,000,000 or | ||||||
25 | 5% of the gross direct written premium underwritten by the
| ||||||
26 | managing general agent on behalf of the insurer.
|
| |||||||
| |||||||
1 | (5) Evidence of the existence of the bond and the | ||||||
2 | errors and omissions
policy must be made available to the | ||||||
3 | Director upon his request.
| ||||||
4 | (c) No person, firm, association, or corporation acting in | ||||||
5 | the capacity
of a managing general agent shall place business | ||||||
6 | with an insurer unless
there is in force a written contract | ||||||
7 | between the parties that sets forth
the responsibilities of | ||||||
8 | each party, that, if both parties share
responsibility for a | ||||||
9 | particular function, specifies the division of
responsibility, | ||||||
10 | and that contains the following minimum provisions:
| ||||||
11 | (1) The insurer may terminate the contract for cause | ||||||
12 | upon written
notice to the managing general agent. The | ||||||
13 | insurer may suspend the underwriting
authority of the | ||||||
14 | managing general agent during the pendency of any dispute
| ||||||
15 | regarding the cause for termination.
| ||||||
16 | (2) The managing general agent shall render accounts to | ||||||
17 | the insurer
detailing all transactions and remit all funds | ||||||
18 | due under the contract to
the insurer on not less than a | ||||||
19 | monthly basis.
| ||||||
20 | (3) All funds collected for the account of an insurer | ||||||
21 | shall be held by
the managing general agent in a fiduciary | ||||||
22 | capacity in a bank that is a
federally or State chartered | ||||||
23 | bank and that is a member of the Federal
Deposit Insurance | ||||||
24 | Corporation. This account shall be used for all payments
on | ||||||
25 | behalf of the insurer; however, the managing general agent | ||||||
26 | shall not have
authority to draw on any other accounts of |
| |||||||
| |||||||
1 | the insurer. The managing general
agent may retain no more
| ||||||
2 | than 3 months estimated claims payments and allocated loss | ||||||
3 | adjustment
expenses.
| ||||||
4 | (4) Separate records of business written by the | ||||||
5 | managing general agent
will be maintained. The insurer | ||||||
6 | shall have access to and the right to copy all
accounts and | ||||||
7 | records related to its business in a form usable by the | ||||||
8 | insurer,
and the Director shall have access to all books, | ||||||
9 | bank accounts, and records of
the managing general agent in | ||||||
10 | a form usable to the Director.
| ||||||
11 | (5) The contract may not be assigned in whole or part | ||||||
12 | by the
managing general agent.
| ||||||
13 | (6) The managing general agent shall provide to the | ||||||
14 | company audited
financial statements required under | ||||||
15 | paragraph (1) of subsection (d).
| ||||||
16 | (7) That appropriate underwriting guidelines be | ||||||
17 | followed,
which guidelines shall stipulate the following:
| ||||||
18 | (A) the maximum annual premium volume;
| ||||||
19 | (B) the basis of the rates to be charged;
| ||||||
20 | (C) the types of risks that may be written;
| ||||||
21 | (D) maximum limits of liability;
| ||||||
22 | (E) applicable exclusions;
| ||||||
23 | (F) territorial limitations;
| ||||||
24 | (G) policy cancellation provisions; and
| ||||||
25 | (H) the maximum policy period.
| ||||||
26 | (8) The insurer shall have the right to: (i) cancel or |
| |||||||
| |||||||
1 | nonrenew any
policy of insurance subject to applicable laws | ||||||
2 | and regulations concerning
those actions; and (ii) require | ||||||
3 | cancellation of any subproducer's contract
after | ||||||
4 | appropriate notice.
| ||||||
5 | (9) If the contract permits the managing general agent | ||||||
6 | to
settle claims on behalf of the insurer:
| ||||||
7 | (A) all claims must be reported to the company in a | ||||||
8 | timely manner.
| ||||||
9 | (B) a copy of the claim file must be sent to the | ||||||
10 | insurer at its
request or as soon as it becomes known | ||||||
11 | that the claim:
| ||||||
12 | (i) has the potential to exceed an amount | ||||||
13 | determined by the company;
| ||||||
14 | (ii) involves a coverage dispute;
| ||||||
15 | (iii) may exceed the managing general agent's | ||||||
16 | claims
settlement authority;
| ||||||
17 | (iv) is open for more than 6 months; or
| ||||||
18 | (v) is closed by payment of an amount set by | ||||||
19 | the company.
| ||||||
20 | (C) all claim files will be the joint
property of | ||||||
21 | the insurer and the managing general agent. However, | ||||||
22 | upon an
order of liquidation of the insurer, the files | ||||||
23 | shall become the sole
property of the insurer or its | ||||||
24 | estate; the managing general agent shall
have | ||||||
25 | reasonable access to and the right to copy the files on | ||||||
26 | a timely basis.
|
| |||||||
| |||||||
1 | (D) any settlement authority granted to the | ||||||
2 | managing general agent
may be terminated for cause upon | ||||||
3 | the insurer's written notice to the
managing general | ||||||
4 | agent or upon the termination of the contract. The
| ||||||
5 | insurer may suspend the settlement authority during | ||||||
6 | the pendency of any
dispute regarding the cause for | ||||||
7 | termination.
| ||||||
8 | (10) Where electronic claims files are in existence, | ||||||
9 | the
contract must
address the timely transmission of the | ||||||
10 | data.
| ||||||
11 | (11) If the contract provides for a sharing of interim
| ||||||
12 | profits by the
managing general agent and the managing | ||||||
13 | general agent has the authority to
determine the amount of | ||||||
14 | the interim profits by establishing loss reserves,
| ||||||
15 | controlling claim payments, or by any other manner, interim | ||||||
16 | profits will
not be paid to the managing general agent | ||||||
17 | until one year after they are
earned for property insurance | ||||||
18 | business and until 5 years after they are
earned on | ||||||
19 | casualty business and in either case, not until the profits | ||||||
20 | have been
verified.
| ||||||
21 | (12) The managing general agent shall not:
| ||||||
22 | (A) Bind reinsurance or retrocessions on behalf of | ||||||
23 | the insurer,
except that the managing general agent may | ||||||
24 | bind facultative reinsurance
contracts under
| ||||||
25 | obligatory facultative agreements if the contract with | ||||||
26 | the insurer contains
reinsurance underwriting |
| |||||||
| |||||||
1 | guidelines including, for both reinsurance assumed
and | ||||||
2 | ceded, a list of reinsurers with which automatic | ||||||
3 | agreements are in
effect, the coverages and amounts or | ||||||
4 | percentages that may be reinsured, and
commission | ||||||
5 | schedules.
| ||||||
6 | (B) Appoint any producer without assuring that the | ||||||
7 | producer is
lawfully licensed to transact the type of | ||||||
8 | insurance for which he is appointed.
| ||||||
9 | (C) Without prior approval of the insurer, pay or | ||||||
10 | commit the insurer
to pay a claim over a specified | ||||||
11 | amount, net of reinsurance, that shall not
exceed 1% of | ||||||
12 | the insurer's policyholders' surplus as of December 31 | ||||||
13 | of the
last completed calendar year.
| ||||||
14 | (D) Collect any payment from a reinsurer or commit | ||||||
15 | the insurer to
any claim settlement with a reinsurer | ||||||
16 | without prior approval of the
insurer. If prior | ||||||
17 | approval is given, a report must be promptly forwarded | ||||||
18 | to
the insurer.
| ||||||
19 | (E) Permit its subproducer to serve on its board of | ||||||
20 | directors.
| ||||||
21 | (F) Employ an individual who is also employed by | ||||||
22 | the insurer.
| ||||||
23 | (13) The contract may not be written for a term of | ||||||
24 | greater than 5
years.
| ||||||
25 | (d) Insurers shall have the following duties:
| ||||||
26 | (1) The insurer shall have on file the managing general |
| |||||||
| |||||||
1 | agent's
audited financial
statements as of the end of the | ||||||
2 | most recent fiscal year prepared in
accordance with | ||||||
3 | Generally Accepted Accounting Principles. The insurer | ||||||
4 | shall
notify the Director if the auditor's opinion on those | ||||||
5 | statements is other than
an unqualified opinion. That | ||||||
6 | notice shall be given to the Director within 10
days of | ||||||
7 | receiving the audited financial statements or becoming | ||||||
8 | aware that such
opinion has been given.
| ||||||
9 | (2) If a managing general agent establishes loss | ||||||
10 | reserves, the insurer
shall annually obtain the opinion of | ||||||
11 | an actuary attesting to the adequacy
of loss reserves | ||||||
12 | established for losses incurred and outstanding on
| ||||||
13 | business produced by the managing general agent, in | ||||||
14 | addition to any other
required loss reserve certification.
| ||||||
15 | (3) The insurer shall periodically (at least | ||||||
16 | semiannually) conduct an
on-site review of the | ||||||
17 | underwriting and claims processing operations of the
| ||||||
18 | managing general agent.
| ||||||
19 | (4) Binding authority for all reinsurance contracts or | ||||||
20 | participation
in insurance or reinsurance syndicates shall | ||||||
21 | rest with an officer of the
insurer, who shall not be | ||||||
22 | affiliated with the managing general agent.
| ||||||
23 | (5) Within 30 days of entering into or terminating a | ||||||
24 | contract with a
managing general agent, the insurer shall | ||||||
25 | provide written notification of
the appointment or | ||||||
26 | termination to the Director. Notices of appointment of
a |
| |||||||
| |||||||
1 | managing general agent shall include a statement of duties | ||||||
2 | that the
applicant is expected to perform on behalf of the | ||||||
3 | insurer, the lines of
insurance for which the applicant is | ||||||
4 | to be authorized to act, and any other
information the | ||||||
5 | Director may request.
| ||||||
6 | (6) An insurer shall review its books and records each | ||||||
7 | quarter to
determine if any producer has become a managing | ||||||
8 | general agent. If the
insurer determines that a producer | ||||||
9 | has become a managing general agent, the
insurer shall | ||||||
10 | promptly notify the producer and the Director of that
| ||||||
11 | determination, and the insurer and producer must fully | ||||||
12 | comply with the
provisions of this Section within 30 days | ||||||
13 | of the notification.
| ||||||
14 | (7) The insurer shall file any managing general agent | ||||||
15 | contract for the
Director's approval within 45 days after | ||||||
16 | the contract becomes subject to this
Section. Failure of | ||||||
17 | the Director to disapprove the contract within 45 days
| ||||||
18 | shall constitute approval thereof. Upon expiration of the | ||||||
19 | contract, the
insurer shall submit the replacement | ||||||
20 | contract for approval. Contracts filed
under this Section | ||||||
21 | shall be exempt from filing under Sections 141, 141.1 and
| ||||||
22 | 131.20a.
| ||||||
23 | (8) An insurer shall not appoint to its board of | ||||||
24 | directors an
officer,
director, employee, or controlling | ||||||
25 | shareholder of its managing general
agents. This provision | ||||||
26 | shall not apply to relationships governed by Article
VIII |
| |||||||
| |||||||
1 | 1/2 of this Code.
| ||||||
2 | (e) The acts of a managing general agent are considered to | ||||||
3 | be the acts
of the insurer on whose behalf it is acting. A | ||||||
4 | managing general agent may
be examined in the same manner as an | ||||||
5 | insurer.
| ||||||
6 | (f) Retrospective compensation agreements for business | ||||||
7 | written under
Section 4 of this Code in Illinois and outside of | ||||||
8 | Illinois by an insurer
domiciled in this State must be filed | ||||||
9 | for approval.
The standards for approval shall be as set forth | ||||||
10 | under Section 141
of this Code.
| ||||||
11 | (g) Unless specifically required by the Director, the | ||||||
12 | provisions of this
Section shall not apply to arrangements | ||||||
13 | between a managing general agent not
underwriting any risks | ||||||
14 | located in Illinois and a foreign insurer domiciled in
an NAIC | ||||||
15 | accredited state that has adopted legislation substantially | ||||||
16 | similar to
the NAIC Managing General Agents Model Act. "NAIC | ||||||
17 | accredited state" means a
state or territory of the United | ||||||
18 | States having an insurance regulatory agency
that maintains an | ||||||
19 | accredited status granted by the National Association of
| ||||||
20 | Insurance Commissioners.
| ||||||
21 | (h) If the Director determines that a managing general | ||||||
22 | agent
has not materially complied with this Section or any | ||||||
23 | regulation or
order promulgated hereunder, after notice and | ||||||
24 | opportunity to be heard, the
Director may order a penalty in an | ||||||
25 | amount not exceeding $50,000
$100,000 for each
separate | ||||||
26 | violation and may order the revocation or suspension of the |
| |||||||
| |||||||
1 | producer's
license. If it is found that because of the material | ||||||
2 | noncompliance the
insurer
has suffered any loss or damage, the | ||||||
3 | Director may maintain a civil action
brought by or on behalf of | ||||||
4 | the insurer and its policyholders and creditors for
recovery of | ||||||
5 | compensatory damages for the benefit of the insurer and its
| ||||||
6 | policyholders
and creditors or other appropriate relief. This | ||||||
7 | subsection (h) shall not be
construed to prevent any other | ||||||
8 | person from taking civil action against a
managing general | ||||||
9 | agent.
| ||||||
10 | (i) If an Order of Rehabilitation or Liquidation is entered
| ||||||
11 | under Article XIII and
the receiver appointed under that Order | ||||||
12 | determines that the managing general
agent or any other person | ||||||
13 | has not materially complied with this Section or any
regulation | ||||||
14 | or Order promulgated hereunder and the insurer suffered any | ||||||
15 | loss
or damage therefrom, the receiver may maintain a civil | ||||||
16 | action for recovery of
damages or other appropriate sanctions | ||||||
17 | for the benefit of the insurer.
| ||||||
18 | Any decision, determination, or order of the Director under | ||||||
19 | this
subsection shall be subject to judicial review under the | ||||||
20 | Administrative
Review Law.
| ||||||
21 | Nothing contained in this subsection shall affect the right | ||||||
22 | of the
Director to impose any other penalties provided for in | ||||||
23 | this Code.
| ||||||
24 | Nothing contained in this subsection is intended to or | ||||||
25 | shall in any
manner limit or restrict the rights of | ||||||
26 | policyholders, claimants, and auditors.
|
| |||||||
| |||||||
1 | (j) A domestic company shall not during any calendar year | ||||||
2 | write,
through a managing general agent or managing general | ||||||
3 | agents, premiums in an
amount equal to or greater than its | ||||||
4 | capital and surplus as of the preceding
December 31st unless | ||||||
5 | the domestic company requests in writing the Director's
| ||||||
6 | permission to do so and the Director has either approved the | ||||||
7 | request or has
not disapproved the request within 45 days after | ||||||
8 | the Director received the
request.
| ||||||
9 | No domestic company with less than $5,000,000 of capital | ||||||
10 | and surplus may
write any business through a managing general | ||||||
11 | agent unless the domestic company
requests in writing the | ||||||
12 | Director's permission to do so and the Director has
either | ||||||
13 | approved the request or has not disapproved the request within | ||||||
14 | 45 days
after the Director received the request.
| ||||||
15 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
16 | (215 ILCS 5/149) (from Ch. 73, par. 761)
| ||||||
17 | Sec. 149. Misrepresentation and defamation prohibited.
| ||||||
18 | (1) No company doing business in this State, and no | ||||||
19 | officer, director,
agent, clerk or employee thereof, broker, or | ||||||
20 | any other person, shall make,
issue or circulate or cause or | ||||||
21 | knowingly permit to be made, issued or
circulated any estimate, | ||||||
22 | illustration, circular, or verbal or written
statement of any | ||||||
23 | sort misrepresenting the terms of any policy issued or to
be | ||||||
24 | issued by it or any other company or the benefits or advantages | ||||||
25 | promised
thereby or any misleading estimate of the dividends or |
| |||||||
| |||||||
1 | share of the surplus
to be received thereon, or shall by the | ||||||
2 | use of any name or title of any
policy or class of policies | ||||||
3 | misrepresent the nature thereof.
| ||||||
4 | (2) No such company or officer, director, agent, clerk or | ||||||
5 | employee
thereof, or broker shall make any misleading | ||||||
6 | representation or comparison
of companies or policies, to any | ||||||
7 | person insured in any company for the
purpose of inducing or | ||||||
8 | tending to induce a policyholder in any company to
lapse, | ||||||
9 | forfeit, change or surrender his insurance, whether on a | ||||||
10 | temporary
or permanent plan.
| ||||||
11 | (3) No such company, officer, director, agent, clerk or | ||||||
12 | employee
thereof, broker or other person shall make, issue or | ||||||
13 | circulate or cause or
knowingly permit to be made, issued or | ||||||
14 | circulated any pamphlet, circular,
article, literature or | ||||||
15 | verbal or written statement of any kind which
contains any | ||||||
16 | false or malicious statement calculated to injure any company
| ||||||
17 | doing business in this State in its reputation or business.
| ||||||
18 | (4) No such company, or officer, director, agent, clerk or | ||||||
19 | employee
thereof, no agent, broker, solicitor, or company | ||||||
20 | service representative,
and no other person, firm, | ||||||
21 | corporation, or association of any kind or
character, shall | ||||||
22 | make, issue, circulate, use, or utter, or cause or
knowingly | ||||||
23 | permit to be made, issued, circulated, used, or uttered, any
| ||||||
24 | policy or certificate of insurance, or endorsement or rider | ||||||
25 | thereto, or
matter incorporated therein by reference, or | ||||||
26 | application blanks, or any
stationery, pamphlet, circular, |
| |||||||
| |||||||
1 | article, literature, advertisement or
advertising of any kind | ||||||
2 | or character, visual, or aural, including radio
advertising and | ||||||
3 | television advertising, or any other verbal or written
| ||||||
4 | statement or utterance (a) which tends to create the impression | ||||||
5 | or from
which it may be implied or inferred, directly or | ||||||
6 | indirectly, that the
company, its financial condition or | ||||||
7 | status, or the payment of its claims,
or the merits, | ||||||
8 | desirability, or advisability of its policy forms or kinds
or | ||||||
9 | plans of insurance are approved, endorsed, or guaranteed by the | ||||||
10 | State of
Illinois or United States Government or the Director | ||||||
11 | or the Department or
are secured by Government bonds or are | ||||||
12 | secured by a deposit with the
Director, or (b) which uses or | ||||||
13 | refers to any deposit with the Director or
any certificate of | ||||||
14 | deposit issued by the Director or any facsimile,
reprint, | ||||||
15 | photograph, photostat, or other reproduction of any such
| ||||||
16 | certificate of deposit.
| ||||||
17 | (5) Any company, officer, director, agent, clerk or | ||||||
18 | employee thereof,
broker, or other person who violates any of | ||||||
19 | the provisions of this Section,
or knowingly participates in or | ||||||
20 | abets such violation, is guilty
of a
business offense and shall | ||||||
21 | be required to pay a penalty of not less than $100
$200 nor | ||||||
22 | more than $5,000
$10,000 , to be recovered in
the name of the | ||||||
23 | People of the State of Illinois either by the Attorney
General | ||||||
24 | or by the State's Attorney of
the county in which the violation | ||||||
25 | occurs. The penalty so recovered
shall
be paid into the county | ||||||
26 | treasury if recovered by the State's Attorney or
into the State |
| |||||||
| |||||||
1 | treasury if recovered by the Attorney General.
| ||||||
2 | (6) No company shall be held guilty of having violated any | ||||||
3 | of the
provisions of this Section by reason of the act of any | ||||||
4 | agent, solicitor or
employee, not an officer, director or | ||||||
5 | department head thereof, unless an
officer, director or | ||||||
6 | department head of such company shall have knowingly
permitted | ||||||
7 | such act or shall have had prior knowledge thereof.
| ||||||
8 | (7) Any person, association, organization, partnership, | ||||||
9 | business trust
or corporation not authorized to transact an | ||||||
10 | insurance business in this
State which disseminates in or | ||||||
11 | causes to be disseminated in this State any
advertising, | ||||||
12 | invitations to inquire, questionnaires or requests for
| ||||||
13 | information designed to result in a solicitation for the | ||||||
14 | purchase of
insurance by residents of this State is also | ||||||
15 | subject to the sanctions of
this Section. The phrase "designed | ||||||
16 | to result in a solicitation for the
purchase of insurance" | ||||||
17 | includes but is not limited to:
| ||||||
18 | (a) the use of any form or document which provides | ||||||
19 | either generalized or
specific information or | ||||||
20 | recommendations regardless of the insurance needs
of the | ||||||
21 | recipient or the availability of any insurance policy or | ||||||
22 | plan; or
| ||||||
23 | (b) any offer to provide such information or | ||||||
24 | recommendation upon
subsequent contacts or solicitation | ||||||
25 | either by the entity generating the
material or some other | ||||||
26 | person; or
|
| |||||||
| |||||||
1 | (c) the use of a coupon, reply card or request to write | ||||||
2 | for further
information; or
| ||||||
3 | (d) the use of an application for insurance or an offer | ||||||
4 | to provide
insurance coverage for any purpose; or
| ||||||
5 | (e) the use of any material which, regardless of the | ||||||
6 | form and content
used or the information imparted, is | ||||||
7 | intended to result, in the
generation of leads for further | ||||||
8 | solicitations or the preparation of a
mailing list which | ||||||
9 | can be sold to others for such purpose.
| ||||||
10 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
11 | (215 ILCS 5/310.1) (from Ch. 73, par. 922.1)
| ||||||
12 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
13 | Sec. 310.1. Suspension, Revocation or Refusal to Renew | ||||||
14 | Certificate of
Authority. | ||||||
15 | (a) Domestic Societies. When, upon investigation, the | ||||||
16 | Director
is satisfied that any domestic society transacting | ||||||
17 | business under this
amendatory Act has exceeded its powers or | ||||||
18 | has failed to comply with any
provisions of this amendatory Act | ||||||
19 | or is conducting business fraudulently or in
a
way hazardous to | ||||||
20 | its members, creditors or the public or is not carrying
out its | ||||||
21 | contracts in good faith, the Director shall notify the society | ||||||
22 | of
his or her findings, stating in writing the grounds of his | ||||||
23 | or her
dissatisfaction, and, after reasonable notice, require | ||||||
24 | the society on a date
named to show cause why its certificate | ||||||
25 | of authority should not be revoked
or suspended or why such |
| |||||||
| |||||||
1 | society should not be fined as hereinafter
provided or why the | ||||||
2 | Director should not proceed against the society under
Article | ||||||
3 | XIII of this Code. If, on the date named in said notice, such
| ||||||
4 | objections have not been removed to the satisfaction of the | ||||||
5 | Director
or if the society does not present good and sufficient | ||||||
6 | reasons why its
authority to transact business in this State | ||||||
7 | should not at that time be
revoked or suspended or why such | ||||||
8 | society should not be fined as
hereinafter provided, the | ||||||
9 | Director may revoke the authority of the society to
continue | ||||||
10 | business in this State and proceed against the society under
| ||||||
11 | Article XIII of this Code or suspend such certificate of | ||||||
12 | authority for any
period of time up to, but not to exceed, 2 | ||||||
13 | years; or may by order require
such society to pay to the | ||||||
14 | people of the State of Illinois a penalty in a
sum not | ||||||
15 | exceeding $5,000 $10,000 , and, upon the failure of such
society | ||||||
16 | to pay such penalty within 20 days after the mailing of such
| ||||||
17 | order, postage prepaid, registered and addressed to the last | ||||||
18 | known place
of business of such society, unless such order is | ||||||
19 | stayed by an order of a
court of competent jurisdiction, the | ||||||
20 | Director may revoke or suspend the
license of such society for | ||||||
21 | any period of time up to, but not exceeding, a
period of 2 | ||||||
22 | years.
| ||||||
23 | (b) Foreign or alien societies. The Director shall suspend, | ||||||
24 | revoke or
refuse to renew certificates of authority in | ||||||
25 | accordance with Article VI of this
Code.
| ||||||
26 | (Source: P.A. 93-32, eff. 7-1-03 .)
|
| |||||||
| |||||||
1 | (215 ILCS 5/315.4) (from Ch. 73, par. 927.4)
| ||||||
2 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
3 | Sec. 315.4. Penalties.
| ||||||
4 | (a) Any person who willfully makes a false or
fraudulent | ||||||
5 | statement in or relating to an application for membership or | ||||||
6 | for
the purpose of obtaining money from, or a benefit in, any | ||||||
7 | society shall upon
conviction be fined not less than $100 $200 | ||||||
8 | nor more than $5,000 $10,000 or be subject to
imprisonment in | ||||||
9 | the county jail not less than 30 days nor more than one
year, | ||||||
10 | or both.
| ||||||
11 | (b) Any person who willfully makes a false or fraudulent | ||||||
12 | statement in any
verified report or declaration under oath | ||||||
13 | required or authorized by this
amendatory Act, or of any | ||||||
14 | material fact or thing contained in a sworn statement
| ||||||
15 | concerning the death or disability of an insured for the | ||||||
16 | purpose of
procuring payment of a benefit named in the | ||||||
17 | certificate, shall be guilty of
perjury and shall be subject to | ||||||
18 | the penalties therefor prescribed by law.
| ||||||
19 | (c) Any person who solicits membership for, or in any | ||||||
20 | manner assists in
procuring membership in, any society not | ||||||
21 | licensed to do business in this
State shall upon conviction be | ||||||
22 | fined not less than $50 $100 nor more
than $200 $400 .
| ||||||
23 | (d) Any person guilty of a willful violation of, or neglect | ||||||
24 | or refusal
to comply with, the provisions of this amendatory | ||||||
25 | Act for which a penalty is
not
otherwise prescribed shall upon |
| |||||||
| |||||||
1 | conviction be subject to a fine
not exceeding $5,000 $10,000 .
| ||||||
2 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
3 | (215 ILCS 5/325) (from Ch. 73, par. 937)
| ||||||
4 | Sec. 325. Officers bonds. The officer or officers of the | ||||||
5 | association entrusted with the custody of
its funds shall | ||||||
6 | within thirty days after the effective date of this Code
file | ||||||
7 | with the Director a bond in favor of the association in the | ||||||
8 | penalty of
double the amount of its benefit account, as defined | ||||||
9 | in the act mentioned
in section 316, as of the end of a | ||||||
10 | preceding calendar year, exclusive of
such amount as the | ||||||
11 | association may maintain on deposit with the Director,
(but in | ||||||
12 | no event a bond in a penalty of less than $1,000
$2,000 )
with | ||||||
13 | such officer or officers as principal and a duly authorized | ||||||
14 | surety
company as surety, conditioned upon the faithful | ||||||
15 | performance of his or
their duties and the accounting of the | ||||||
16 | funds entrusted to his or their
custody. If the penalty of any | ||||||
17 | bond filed pursuant to this section shall at
any time be less | ||||||
18 | than twice the largest amount in the benefit fund of the
| ||||||
19 | association not maintained on deposit with the Director during | ||||||
20 | the
preceding calendar year, a new bond in the penalty of | ||||||
21 | double the largest
amount in the benefit fund during said | ||||||
22 | preceding calendar year, with such
officer or officers as | ||||||
23 | principal and a duly authorized surety company as
surety, | ||||||
24 | conditioned as aforesaid, shall be filed with the Director | ||||||
25 | within
sixty days after the end of such calendar year.
|
| |||||||
| |||||||
1 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
2 | (215 ILCS 5/363a) (from Ch. 73, par. 975a)
| ||||||
3 | Sec. 363a. Medicare supplement policies; disclosure, | ||||||
4 | advertising, loss
ratio standards.
| ||||||
5 | (1) Scope. This Section pertains to disclosure | ||||||
6 | requirements of
companies and agents and mandatory and | ||||||
7 | prohibited practices of agents
when selling a policy to | ||||||
8 | supplement the Medicare program or any other
health insurance | ||||||
9 | policy sold to individuals eligible for Medicare. No policy
| ||||||
10 | shall be referred to or labeled as a Medicare
supplement policy | ||||||
11 | if it does not comply with the minimum standards
required by | ||||||
12 | regulation pursuant to Section 363 of this Code. Except as
| ||||||
13 | otherwise specifically provided in paragraph (d) of subsection | ||||||
14 | (6), this
Section shall not apply to accident only or specified | ||||||
15 | disease type of
policies or hospital confinement indemnity or | ||||||
16 | other type policies clearly
unrelated to Medicare.
| ||||||
17 | (2) Advertising. An advertisement that describes or offers | ||||||
18 | to provide
information concerning the federal Medicare program | ||||||
19 | shall comply with all
of the following:
| ||||||
20 | (a) It may not include any reference to that program on | ||||||
21 | the
envelope, the reply envelope, or the address side of | ||||||
22 | the reply postal card,
if any, nor use any language to | ||||||
23 | imply that failure to respond to the
advertisement might | ||||||
24 | result in loss of Medicare benefits.
| ||||||
25 | (b) It must include a prominent statement to the effect |
| |||||||
| |||||||
1 | that in providing
supplemental coverage the insurer and | ||||||
2 | agent involved in the solicitation
are not in any manner | ||||||
3 | connected with that program.
| ||||||
4 | (c) It must prominently disclose that it is an | ||||||
5 | advertisement for
insurance or is intended to obtain | ||||||
6 | insurance prospects.
| ||||||
7 | (d) It must prominently identify and set forth the | ||||||
8 | actual address of
the insurer or insurers that issue the | ||||||
9 | coverage.
| ||||||
10 | (e) It must prominently state that any material or | ||||||
11 | information offered
will be delivered in person by a | ||||||
12 | representative of the insurer, if that is
the case.
| ||||||
13 | The Director may issue reasonable rules and regulations for | ||||||
14 | the
purpose of establishing criteria and guidelines for the | ||||||
15 | advertising of
Medicare supplement insurance.
| ||||||
16 | (3) Mandatory agent practices. For the purpose of this Act, | ||||||
17 | "home
solicitation sale by an agent" means a sale or attempted | ||||||
18 | sale of an
insurance policy at the purchaser's residence, | ||||||
19 | agent's transient quarters,
or away from the agent's home | ||||||
20 | office when the initial contact is personally
solicited by the | ||||||
21 | agent or insurer. Any agent involved in any home
solicitation | ||||||
22 | sale of a Medicare supplement policy or other policy of
| ||||||
23 | accident and health insurance, subject to subsection (1) of | ||||||
24 | this Section,
sold to individuals eligible for Medicare shall | ||||||
25 | promptly do the following:
| ||||||
26 | (a) Identify himself as an insurance agent.
|
| ||||||||||||||
| ||||||||||||||
1 | (b) Identify the insurer or insurers for which he is a | |||||||||||||
2 | licensed
agent.
| |||||||||||||
3 | (c) Provide the purchaser with a clearly printed or | |||||||||||||
4 | typed
identification of his name, address, telephone | |||||||||||||
5 | number, and the name of
the insurer in which the insurance | |||||||||||||
6 | is to be written.
| |||||||||||||
7 | (d) Determine what, if any, policy is appropriate, | |||||||||||||
8 | suitable, and
nonduplicative for the purchaser considering | |||||||||||||
9 | existing coverage and be able to
provide proof to the | |||||||||||||
10 | company that such a determination has been made.
| |||||||||||||
11 | (e) Fully and completely disclose the purchaser's | |||||||||||||
12 | medical history on
the application if required for issue.
| |||||||||||||
13 | (f) Complete a Policy Check List in duplicate as | |||||||||||||
14 | follows:
| |||||||||||||
15 | POLICY CHECK LIST
| |||||||||||||
16 | Applicant's Name:
| |||||||||||||
17 | Policy Number:
| |||||||||||||
18 | Name of Existing Insurer:
| |||||||||||||
19 | Expiration Date of Existing Insurance:
| |||||||||||||
| ||||||||||||||
22 | Service
| |||||||||||||
23 | Hospital
| |||||||||||||
24 | Skilled
| |||||||||||||
25 | Nursing
| |||||||||||||
26 | Home Care
|
| |||||||
| |||||||
1 | Prescription
| ||||||
2 | Drugs
| ||||||
3 | This policy does/does not (circle one)
comply with the | ||||||
4 | minimum standards
for Medicare supplements set forth in
| ||||||
5 | Section 363 of the Illinois Insurance Code.
| ||||||
6 | Signature of Applicant
| ||||||
7 | Signature of Agent
| ||||||
8 | This Policy Check List is to be completed in the | ||||||
9 | presence of the purchaser
at the point of sale, and copies | ||||||
10 | of it, completed and duly signed, are
to be provided to the | ||||||
11 | purchaser and to the company.
| ||||||
12 | (g) Except in the case of refunds of premium made | ||||||
13 | pursuant to
subsection (5) of Section 363 of this Code, | ||||||
14 | send by mail to an insured or
an applicant for insurance, | ||||||
15 | when the insurer follows a practice of having
agents return | ||||||
16 | premium refund drafts issued by the insurer, a premium | ||||||
17 | refund
draft within 2 weeks of its receipt by the agent | ||||||
18 | from the insurer making
such refund.
| ||||||
19 | (h) Deliver to the purchaser, along with every policy | ||||||
20 | issued pursuant
to Section 363 of this Code, an Outline of | ||||||
21 | Coverage as described in
paragraph (b) of subsection (6) of | ||||||
22 | this Section.
| ||||||
23 | (4) Prohibited agent practices.
| ||||||
24 | (a) No insurance agent engaged in a home solicitation | ||||||
25 | sale of a
Medicare supplement policy or other policy of | ||||||
26 | accident and health
insurance, subject to subsection (1) of |
| |||||||
| |||||||
1 | this Section, sold to individuals
eligible for Medicare | ||||||
2 | shall use any false, deceptive, or misleading
| ||||||
3 | representation to induce a sale, or use any plan, scheme, | ||||||
4 | or ruse, that
misrepresents the true status or mission of | ||||||
5 | the person making the call, or
represent directly or by | ||||||
6 | implication that the agent:
| ||||||
7 | (i) Is offering insurance that is approved or | ||||||
8 | recommended by the
State or federal government to | ||||||
9 | supplement Medicare.
| ||||||
10 | (ii) Is in any way representing, working for, or | ||||||
11 | compensated by a
local, State, or federal government | ||||||
12 | agency.
| ||||||
13 | (iii) Is engaged in an advisory business in which | ||||||
14 | his compensation is
unrelated to the sale of insurance | ||||||
15 | by the use of terms such as Medicare
consultant, | ||||||
16 | Medicare advisor, Medicare Bureau, disability | ||||||
17 | insurance
consultant, or similar expression in a | ||||||
18 | letter, envelope, reply card, or
other.
| ||||||
19 | (iv) Will provide a continuing service to the | ||||||
20 | purchaser of the policy
unless he does provide services | ||||||
21 | to the purchaser beyond the sale and
renewal of | ||||||
22 | policies.
| ||||||
23 | (b) No agent engaged in a home solicitation sale of a | ||||||
24 | Medicare supplement
policy or other policy of accident and | ||||||
25 | health insurance sold to
individuals eligible for Medicare | ||||||
26 | shall misrepresent, directly or by
implication, any of the |
| |||||||
| |||||||
1 | following:
| ||||||
2 | (i) The identity of the insurance company or | ||||||
3 | companies he
represents.
| ||||||
4 | (ii) That the assistance programs of the State or | ||||||
5 | county or the
federal Medicare programs for medical | ||||||
6 | insurance are to be discontinued
or are increasing in | ||||||
7 | cost to the prospective buyer or are in any way
| ||||||
8 | endangered.
| ||||||
9 | (iii) That an insurance company in which the | ||||||
10 | prospective purchaser is
insured is financially | ||||||
11 | unstable, cancelling its outstanding policies,
| ||||||
12 | merging, or withdrawing from the State.
| ||||||
13 | (iv) The coverage of the policy being sold.
| ||||||
14 | (v) The effective date of coverage under the | ||||||
15 | policy.
| ||||||
16 | (vi) That any pre-existing health condition of the | ||||||
17 | purchaser is
irrelevant.
| ||||||
18 | (vii) The right of the purchaser to cancel the | ||||||
19 | policy within 30 days
after receiving it.
| ||||||
20 | (5) Mandatory company practices. Any company involved in | ||||||
21 | the sale of
Medicare supplement policies or any policies of | ||||||
22 | accident and health insurance
(subject to subsection (1) of | ||||||
23 | this Section) sold to individuals eligible
for Medicare shall | ||||||
24 | do the following:
| ||||||
25 | (a) Be able to readily determine the number of accident | ||||||
26 | and health
policies in force with the company on each |
| |||||||
| |||||||
1 | insured eligible for Medicare.
| ||||||
2 | (b) Make certain that policies of Medicare supplement | ||||||
3 | insurance are not
issued, and any premium collected for | ||||||
4 | those policies is refunded, when they
are deemed | ||||||
5 | duplicative, inappropriate, or not suitable considering | ||||||
6 | existing
coverage with the company.
| ||||||
7 | (c) Maintain copies of the Policy Check List as | ||||||
8 | completed by the agent
at the point of sale of a Medicare | ||||||
9 | supplement policy or any policy of accident
and health | ||||||
10 | insurance (subject to subsection (1) of this Section) sold | ||||||
11 | to
individuals eligible for Medicare on file at the | ||||||
12 | company's regional or other
administrative office.
| ||||||
13 | (6) Disclosures. In order to provide for full and fair | ||||||
14 | disclosure in
the sale of Medicare supplement policies, there | ||||||
15 | must be compliance with the following:
| ||||||
16 | (a) No Medicare supplement policy or certificate shall | ||||||
17 | be delivered in
this State unless an outline of coverage is | ||||||
18 | delivered to the applicant at
the time application is made | ||||||
19 | and, except for direct response policies,
an | ||||||
20 | acknowledgement from the applicant of receipt of the | ||||||
21 | outline is obtained.
| ||||||
22 | (b) Outline of coverage requirements for Medicare | ||||||
23 | supplement policies.
| ||||||
24 | (i) Insurers issuing Medicare supplement policies | ||||||
25 | or certificates for
delivery in this State shall | ||||||
26 | provide an outline of coverage to all
applicants at the |
| |||||||
| |||||||
1 | time application is made and, except for direct | ||||||
2 | response
policies, shall obtain an acknowledgement of | ||||||
3 | receipt of the outline from the applicant.
| ||||||
4 | (ii) If an outline of coverage is provided at the | ||||||
5 | time of application
and the Medicare supplement policy | ||||||
6 | or certificate is issued on a basis
that would require | ||||||
7 | revision of the outline, a substitute outline of | ||||||
8 | coverage
properly describing the policy or certificate | ||||||
9 | must accompany the policy or
certificate when it is | ||||||
10 | delivered and shall contain immediately above the
| ||||||
11 | company name, in no less than 12 point type, the | ||||||
12 | following statement:
| ||||||
13 | "NOTICE: Read this outline of coverage carefully. | ||||||
14 | It is not identical to
the outline of coverage provided | ||||||
15 | upon application and the coverage
originally applied | ||||||
16 | for has not been issued.".
| ||||||
17 | (iii) The outline of coverage provided to | ||||||
18 | applicants
shall be in the form prescribed by rule by | ||||||
19 | the Department.
| ||||||
20 | (c) Insurers issuing policies that provide hospital or | ||||||
21 | medical expense
coverage on an expense incurred or | ||||||
22 | indemnity basis, other than incidentally,
to a person or | ||||||
23 | persons eligible for Medicare shall provide
to the | ||||||
24 | policyholder a buyer's guide approved by the Director.
| ||||||
25 | Delivery of the buyer's guide shall be made whether or not | ||||||
26 | the
policy qualifies as a "Medicare Supplement Coverage" in |
| |||||||
| |||||||
1 | accordance with
Section 363 of this Code. Except in the | ||||||
2 | case of direct response insurers,
delivery of the buyer's | ||||||
3 | guide shall be made at the time of application, and
| ||||||
4 | acknowledgement of receipt of certification of delivery of | ||||||
5 | the buyer's
guide shall be provided to the insurer. Direct | ||||||
6 | response insurers shall
deliver the buyer's guide upon | ||||||
7 | request, but not later than at the time the
policy is | ||||||
8 | delivered.
| ||||||
9 | (d) Outlines of coverage delivered in connection with | ||||||
10 | policies defined
in subsection (4) of Section 355a of this | ||||||
11 | Code as Hospital confinement
Indemnity (Section 4c), | ||||||
12 | Accident Only Coverage (Section 4f), Specified
Disease | ||||||
13 | (Section 4g) or Limited Benefit Health Insurance Coverage | ||||||
14 | to
persons eligible for Medicare shall contain, in addition
| ||||||
15 | to other requirements for those outlines, the following | ||||||
16 | language that shall
be printed on or attached to the first | ||||||
17 | page of the outline of coverage:
| ||||||
18 | "This policy, certificate or subscriber contract IS | ||||||
19 | NOT A MEDICARE
SUPPLEMENT policy or certificate. It does | ||||||
20 | not fully supplement your
federal Medicare health | ||||||
21 | insurance. If you are eligible for Medicare,
review the | ||||||
22 | Guide to Health Insurance for
People with Medicare | ||||||
23 | available from the company.".
| ||||||
24 | (e) In the case wherein a policy, as defined in | ||||||
25 | paragraph (a) of
subsection (2) of Section 355a of this | ||||||
26 | Code, being sold to a person
eligible for Medicare provides |
| |||||||
| |||||||
1 | one or more but not all of the minimum
standards for | ||||||
2 | Medicare supplements set forth in Section 363 of this Code,
| ||||||
3 | disclosure must be provided that the policy is not a | ||||||
4 | Medicare supplement
and does not meet the minimum benefit | ||||||
5 | standards set for those policies in
this State.
| ||||||
6 | (7) Loss ratio standards.
| ||||||
7 | (a) Every issuer of Medicare supplement policies
or | ||||||
8 | certificates in this State, as defined in Section 363 of | ||||||
9 | this Code, shall
file annually its rates, rating schedule, | ||||||
10 | and supporting documentation
demonstrating that it is in | ||||||
11 | compliance with the applicable loss ratio
standards of this | ||||||
12 | State. All filings of rates and rating schedules shall
| ||||||
13 | demonstrate that the actual and anticipated losses in | ||||||
14 | relation to premiums
comply with the requirements of this | ||||||
15 | Code.
| ||||||
16 | (b) Medicare supplement policies shall, for the entire | ||||||
17 | period for
which rates are computed to provide coverage, on | ||||||
18 | the basis of incurred
claims experience and earned premiums | ||||||
19 | for the period and in accordance
with accepted actuarial | ||||||
20 | principles and practices, return to policyholders
in the | ||||||
21 | form of aggregate benefits the following:
| ||||||
22 | (i) In the case of group policies, at least 75% of | ||||||
23 | the aggregate
amount of premiums earned.
| ||||||
24 | (ii) In the case of individual policies, at least | ||||||
25 | 60% of the
aggregate amount of premiums earned; and | ||||||
26 | beginning November 5, 1991, at
least 65% of the |
| |||||||
| |||||||
1 | aggregate amount of premiums earned.
| ||||||
2 | (iii) In the case of sponsored group policies in | ||||||
3 | which coverage is
marketed on an individual basis by | ||||||
4 | direct response to eligible individuals
in that group | ||||||
5 | only, at least 65% of the aggregate amount of premiums | ||||||
6 | earned.
| ||||||
7 | (c) For the purposes of this Section, the insurer shall | ||||||
8 | be deemed to
comply with the loss ratio standards if: (i) | ||||||
9 | for the most recent year, the
ratio of the incurred losses | ||||||
10 | to earned premiums for policies or
certificates that have | ||||||
11 | been in force for 3 years or more is greater than
or equal | ||||||
12 | to the applicable percentages contained in this Section; | ||||||
13 | and (ii)
the anticipated losses in relation to premiums | ||||||
14 | over the entire period for
which the policy is rated comply | ||||||
15 | with the requirements of this Section. An
anticipated | ||||||
16 | third-year loss ratio that is greater than or equal to the
| ||||||
17 | applicable percentage shall be demonstrated for policies | ||||||
18 | or certificates in
force less than 3 years.
| ||||||
19 | (8) Applicability. This Section shall apply to those | ||||||
20 | companies
writing
the kind or kinds of business enumerated in | ||||||
21 | Classes 1(b) and 2(a) of
Section 4 of this Code and to those | ||||||
22 | entities organized and operating under
the Voluntary Health | ||||||
23 | Services
Plans Act and the Health Maintenance Organization Act.
| ||||||
24 | (9) Penalties.
| ||||||
25 | (a) Any company or agent who is found to have violated | ||||||
26 | any of the
provisions of this Section may be required by |
| |||||||
| |||||||
1 | order of the Director of
Insurance to forfeit by civil | ||||||
2 | penalty not less than $250
$500 nor more
than $2,500
$5,000 | ||||||
3 | for each offense. Written notice will
be issued and an | ||||||
4 | opportunity for a hearing will be granted pursuant to
| ||||||
5 | subsection (2) of Section 403A of this Code.
| ||||||
6 | (b) In addition to any other applicable penalties for | ||||||
7 | violations of
this Code, the Director may require insurers | ||||||
8 | violating any provision of
this Code or regulations | ||||||
9 | promulgated pursuant to this Code to cease
marketing in | ||||||
10 | this State any Medicare supplement policy or certificate
| ||||||
11 | that is related directly or indirectly to a violation and | ||||||
12 | may require the
insurer to take actions as are necessary to | ||||||
13 | comply with the provisions of
Sections 363 and 363a of this | ||||||
14 | Code.
| ||||||
15 | (c) After June 30, 1991, no person may advertise, | ||||||
16 | solicit for the
sale or purchase of, offer for sale, or | ||||||
17 | deliver a Medicare supplement
policy that has not been | ||||||
18 | approved by the Director. A person who knowingly
violates, | ||||||
19 | directly or through an agent, the provisions of this | ||||||
20 | paragraph
commits a Class 3 felony. Any person who violates | ||||||
21 | the provisions of this
paragraph may be subjected to a | ||||||
22 | civil penalty not to exceed $5,000
$10,000 . The
civil | ||||||
23 | penalty authorized in this paragraph shall be enforced in | ||||||
24 | the manner
provided in Section 403A of this Code.
| ||||||
25 | (10) Replacement. Application forms shall include a | ||||||
26 | question
designed
to elicit information as to whether a |
| |||||||
| |||||||
1 | Medicare supplement policy or
certificate is intended to | ||||||
2 | replace any similar accident and sickness policy
or certificate | ||||||
3 | presently in force. A supplementary application or other
form | ||||||
4 | to be signed by the applicant containing the question may be | ||||||
5 | used.
Upon determining that a sale of Medicare supplement | ||||||
6 | coverage will involve
replacement, an insurer, other than a | ||||||
7 | direct response insurer, or its
agent, shall furnish the | ||||||
8 | applicant, prior to issuance or delivery of the
Medicare | ||||||
9 | supplement policy or certificate, a notice regarding | ||||||
10 | replacement
of Medicare supplement coverage. One copy of the | ||||||
11 | notice shall be provided
to the applicant, and an additional | ||||||
12 | copy signed by the applicant shall be
retained by the insurer. | ||||||
13 | A direct response insurer shall deliver to the
applicant at the | ||||||
14 | time of the issuance of the policy the notice regarding
| ||||||
15 | replacement of Medicare supplement coverage.
| ||||||
16 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
17 | (215 ILCS 5/370) (from Ch. 73, par. 982)
| ||||||
18 | Sec. 370. Policies
issued in violation of article-Penalty.
| ||||||
19 | (1) Any company, or any officer or agent thereof, issuing | ||||||
20 | or delivering
to any person in this State any policy in wilful | ||||||
21 | violation of the provision
of this article shall be guilty of a | ||||||
22 | petty offense.
| ||||||
23 | (2) The Director may revoke the license of any foreign or | ||||||
24 | alien company,
or of the agent thereof wilfully violating any | ||||||
25 | provision of this article or
suspend such license for any |
| |||||||
| |||||||
1 | period of time up to, but not to exceed, two
years; or may by | ||||||
2 | order require such insurance company or agent to pay to
the | ||||||
3 | people of the State of Illinois a penalty in a sum not | ||||||
4 | exceeding $500
$1,000 ,
and upon the failure of such insurance | ||||||
5 | company or agent to
pay such penalty within twenty days after | ||||||
6 | the mailing of such order,
postage prepaid, registered, and | ||||||
7 | addressed to the last known place of
business of such insurance | ||||||
8 | company or agent, unless such order is stayed by
an order of a | ||||||
9 | court of competent jurisdiction, the Director of Insurance
may | ||||||
10 | revoke or suspend the license of such insurance company or | ||||||
11 | agent for
any period of time up to, but not exceeding a period | ||||||
12 | of, two years.
| ||||||
13 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
14 | (215 ILCS 5/403) (from Ch. 73, par. 1015)
| ||||||
15 | Sec. 403. Power to subpoena and examine witnesses.
| ||||||
16 | (1) In the conduct of any examination, investigation or | ||||||
17 | hearing provided
for by this Code, the Director or other | ||||||
18 | officer designated by him or her to
conduct the same, shall | ||||||
19 | have power to compel the attendance of any person
by subpoena, | ||||||
20 | to administer oaths and to examine any person under oath
| ||||||
21 | concerning the business, conduct or affairs of any company or | ||||||
22 | person
subject to the provisions of this Code, and in | ||||||
23 | connection therewith to
require the production of any books, | ||||||
24 | records or papers relevant to the
inquiry.
| ||||||
25 | (2) If a person subpoenaed to attend such inquiry fails to |
| |||||||
| |||||||
1 | obey the
command of the subpoena without reasonable excuse, or | ||||||
2 | if a person in
attendance upon such inquiry shall, without | ||||||
3 | reasonable cause, refuse to be
sworn or to be examined or to | ||||||
4 | answer a question or to produce a book or
paper when ordered to | ||||||
5 | do so by any officer conducting such inquiry, or if
any person | ||||||
6 | fails to perform any act required hereunder to be performed,
he | ||||||
7 | or she shall be required to pay a penalty of not more than | ||||||
8 | $1,000
$2,000
to be recovered in the name of the People of the | ||||||
9 | State of Illinois by the
State's Attorney
of the county in | ||||||
10 | which the violation occurs, and the penalty so recovered
shall | ||||||
11 | be paid into the county treasury.
| ||||||
12 | (3) When any person neglects or refuses without reasonable | ||||||
13 | cause to obey
a subpoena issued by the Director, or refuses | ||||||
14 | without reasonable cause to
testify, to be sworn or to produce | ||||||
15 | any book or paper described in the
subpoena, the Director may | ||||||
16 | file a petition against such person in the
circuit court of the | ||||||
17 | county in which the testimony is desired to be or has
been | ||||||
18 | taken or has been attempted to be taken, briefly setting forth | ||||||
19 | the
fact of such refusal or neglect and attaching a copy of the | ||||||
20 | subpoena and
the return of service thereon and applying for an | ||||||
21 | order requiring such
person to attend, testify or produce the | ||||||
22 | books or papers before the
Director or his or her actuary, | ||||||
23 | supervisor, deputy or examiner, at such
time or place as may be | ||||||
24 | specified in such order. Any circuit court of this
State, upon | ||||||
25 | the filing of such petition, either before or after
notice to | ||||||
26 | such person, may, in the judicial discretion of such court, |
| |||||||
| |||||||
1 | order
the attendance of such person, the production of books
| ||||||
2 | and papers and the giving of testimony before the Director or | ||||||
3 | any of his
or her actuaries, supervisors, deputies or | ||||||
4 | examiners. If such person shall fail or
refuse to obey the | ||||||
5 | order of the court and it shall appear to the court that
the | ||||||
6 | failure or refusal of such person to obey its order is wilful, | ||||||
7 | and
without lawful excuse, the court shall punish such person | ||||||
8 | by fine or
imprisonment in the county jail, or both, as the | ||||||
9 | nature of the case may
require, as is now, or as may hereafter | ||||||
10 | be lawful for the court to do in
cases of contempt of court.
| ||||||
11 | (4) The fees of witnesses for attendance and travel shall | ||||||
12 | be the same as
the fees of witnesses before the circuit courts | ||||||
13 | of this State. When a
witness is subpoenaed by or testifies at | ||||||
14 | the instance of the Director or
other officer designated by him | ||||||
15 | or her, such fees shall be paid in the
same manner as other | ||||||
16 | expenses of the Department. When a witness is subpoenaed
or
| ||||||
17 | testifies at the instance of any other party to any such | ||||||
18 | proceeding, the
cost of the subpoena or subpoenas duces tecum | ||||||
19 | and the fee of the witness
shall be borne by the party at whose | ||||||
20 | instance a witness is summoned. In
such case, the Department in | ||||||
21 | its discretion, may require a deposit to cover
the cost of such | ||||||
22 | service and witness fees.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
24 | (215 ILCS 5/403A) (from Ch. 73, par. 1015A)
| ||||||
25 | Sec. 403A. Violations; Notice of Apparent Liability; |
| |||||||
| |||||||
1 | Limitation
of Forfeiture Liability.
| ||||||
2 | (1) Any company or person, agent or broker,
officer or | ||||||
3 | director and any other person subject to this Code and as may
| ||||||
4 | be defined in Section 2 of this Code, who willfully or | ||||||
5 | repeatedly fails
to observe or who otherwise violates any of | ||||||
6 | the provisions of this Code
or any rule or regulation | ||||||
7 | promulgated by the Director under authority
of this Code or any | ||||||
8 | final order of the Director entered under the authority
of this | ||||||
9 | Code shall by civil penalty forfeit to the State of Illinois a | ||||||
10 | sum
not to exceed $1,000
$2,000 . Each day during which a | ||||||
11 | violation occurs
constitutes
a separate offense. The civil | ||||||
12 | penalty provided for in this Section shall
apply only to those | ||||||
13 | Sections of this Code or administrative regulations
thereunder | ||||||
14 | that do not otherwise provide for a monetary civil penalty.
| ||||||
15 | (2) No forfeiture liability under paragraph (1) of this | ||||||
16 | Section
may attach unless a written notice of apparent | ||||||
17 | liability has been issued
by the Director and received by the | ||||||
18 | respondent, or the Director sends written
notice of apparent | ||||||
19 | liability by registered or certified mail, return receipt
| ||||||
20 | requested, to the last known address of the respondent. Any | ||||||
21 | respondent so
notified must be granted an opportunity to | ||||||
22 | request a
hearing within 10 days from receipt of notice, or to | ||||||
23 | show in writing,
why he should not be held liable. A notice | ||||||
24 | issued under this Section must
set forth the date, facts and | ||||||
25 | nature of the act or omission with which the
respondent is | ||||||
26 | charged and must specifically identify the particular
|
| |||||||
| |||||||
1 | provision of the Code, rule, regulation or order of which a | ||||||
2 | violation is
charged.
| ||||||
3 | (3) No forfeiture liability under paragraph (1) of this | ||||||
4 | Section
may attach for any violation occurring more than 2 | ||||||
5 | years prior to the date
of issuance of the notice of apparent | ||||||
6 | liability and in no event may the total
civil penalty | ||||||
7 | forfeiture imposed for the acts or omissions set forth in any
| ||||||
8 | one notice of apparent liability exceed $250,000
$500,000 .
| ||||||
9 | (4) The civil penalty forfeitures provided for in this | ||||||
10 | Section
are payable to the General Revenue Fund of the State of | ||||||
11 | Illinois, and
may be recovered in a civil suit in the name of | ||||||
12 | the State of Illinois brought
in the Circuit Court in Sangamon | ||||||
13 | County, or in the Circuit Court of the
county where the | ||||||
14 | respondent is domiciled or has its principal operating
office.
| ||||||
15 | (5) In any case where the Director issues a notice of | ||||||
16 | apparent
liability looking toward the imposition of a civil | ||||||
17 | penalty forfeiture
under this Section, that fact may not be | ||||||
18 | used in any other proceeding before
the Director to the | ||||||
19 | prejudice of the respondent to whom the notice was issued,
| ||||||
20 | unless (a) the civil penalty forfeiture has been paid, or (b) a | ||||||
21 | court has
ordered payment of the civil penalty
forfeiture and | ||||||
22 | that order has become final.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
24 | (215 ILCS 5/408) (from Ch. 73, par. 1020)
| ||||||
25 | Sec. 408. Fees and charges.
|
| |||||||
| |||||||
1 | (1) The Director shall charge, collect and
give proper | ||||||
2 | acquittances for the payment of the following fees and charges:
| ||||||
3 | (a) For filing all documents submitted for the | ||||||
4 | incorporation or
organization or certification of a | ||||||
5 | domestic company, except for a fraternal
benefit society, | ||||||
6 | $1,000
$2,000 .
| ||||||
7 | (b) For filing all documents submitted for the | ||||||
8 | incorporation or
organization of a fraternal benefit | ||||||
9 | society, $250
$500 .
| ||||||
10 | (c) For filing amendments to articles of incorporation | ||||||
11 | and amendments to
declaration of organization, except for a | ||||||
12 | fraternal benefit society, a
mutual benefit association, a | ||||||
13 | burial society or a farm mutual, $100
$200 .
| ||||||
14 | (d) For filing amendments to articles of incorporation | ||||||
15 | of a fraternal
benefit society, a mutual benefit | ||||||
16 | association or a burial society, $50
$100 .
| ||||||
17 | (e) For filing amendments to articles of incorporation | ||||||
18 | of a farm mutual, $25
$50 .
| ||||||
19 | (f) For filing bylaws or amendments thereto, $25
$50 .
| ||||||
20 | (g) For filing agreement of merger or consolidation:
| ||||||
21 | (i) for a domestic company, except
for a fraternal | ||||||
22 | benefit society, a
mutual benefit association, a | ||||||
23 | burial society,
or a farm mutual, $1,000
$2,000 .
| ||||||
24 | (ii) for a foreign or
alien company, except for a | ||||||
25 | fraternal
benefit society, $300
$600 .
| ||||||
26 | (iii) for a fraternal benefit society,
a mutual |
| |||||||
| |||||||
1 | benefit association, a burial society,
or a farm | ||||||
2 | mutual, $100
$200 .
| ||||||
3 | (h) For filing agreements of reinsurance by a domestic | ||||||
4 | company, $100
$200 .
| ||||||
5 | (i) For filing all documents submitted by a foreign or | ||||||
6 | alien
company to be admitted to transact business or | ||||||
7 | accredited as a
reinsurer in this State, except for a
| ||||||
8 | fraternal benefit society, $2,500
$5,000 .
| ||||||
9 | (j) For filing all documents submitted by a foreign or | ||||||
10 | alien
fraternal benefit society to be admitted to transact | ||||||
11 | business
in this State, $250
$500 .
| ||||||
12 | (k) For filing declaration of withdrawal of a foreign | ||||||
13 | or
alien company, $25
$50 .
| ||||||
14 | (l) For filing annual statement, except a fraternal | ||||||
15 | benefit
society, a mutual benefit association, a burial | ||||||
16 | society, or
a farm mutual, $100
$200 .
| ||||||
17 | (m) For filing annual statement by a fraternal benefit
| ||||||
18 | society, $50
$100 .
| ||||||
19 | (n) For filing annual statement by a farm mutual, a | ||||||
20 | mutual benefit
association, or a burial society, $25
$50 .
| ||||||
21 | (o) For issuing a certificate of authority or
renewal | ||||||
22 | thereof except to a fraternal benefit society, $100
$200 .
| ||||||
23 | (p) For issuing a certificate of authority or renewal | ||||||
24 | thereof to a
fraternal benefit society, $50
$100 .
| ||||||
25 | (q) For issuing an amended certificate of authority, | ||||||
26 | $25
$50 .
|
| |||||||
| |||||||
1 | (r) For each certified copy of certificate of | ||||||
2 | authority, $10
$20 .
| ||||||
3 | (s) For each certificate of deposit, or valuation, or | ||||||
4 | compliance
or surety certificate, $10 $20.
| ||||||
5 | (t) For copies of papers or records per page, $1.
| ||||||
6 | (u) For each certification to copies
of papers or | ||||||
7 | records, $10.
| ||||||
8 | (v) For multiple copies of documents or certificates | ||||||
9 | listed in
subparagraphs (r), (s), and (u) of paragraph (1) | ||||||
10 | of this Section, $10 for
the first copy of a certificate of | ||||||
11 | any type and $5 for each additional copy
of the same | ||||||
12 | certificate requested at the same time, unless, pursuant to
| ||||||
13 | paragraph (2) of this Section, the Director finds these | ||||||
14 | additional fees
excessive.
| ||||||
15 | (w) For issuing a permit to sell shares or increase | ||||||
16 | paid-up
capital:
| ||||||
17 | (i) in connection with a public stock offering, | ||||||
18 | $150
$300 ;
| ||||||
19 | (ii) in any other case, $50
$100 .
| ||||||
20 | (x) For issuing any other certificate required or | ||||||
21 | permissible
under the law, $25
$50 .
| ||||||
22 | (y) For filing a plan of exchange of the stock of a | ||||||
23 | domestic
stock insurance company, a plan of | ||||||
24 | demutualization of a domestic
mutual company, or a plan of | ||||||
25 | reorganization under Article XII, $1,000
$2,000 .
| ||||||
26 | (z) For filing a statement of acquisition of a
domestic |
| |||||||
| |||||||
1 | company as defined in Section 131.4 of this Code, $1,000
| ||||||
2 | $2,000 .
| ||||||
3 | (aa) For filing an agreement to purchase the business | ||||||
4 | of an
organization authorized under the Dental Service Plan | ||||||
5 | Act
or the Voluntary Health Services Plans Act or
of a | ||||||
6 | health maintenance
organization or a limited health | ||||||
7 | service organization, $1,000
$2,000 .
| ||||||
8 | (bb) For filing a statement of acquisition of a foreign | ||||||
9 | or alien
insurance company as defined in Section 131.12a of | ||||||
10 | this Code, $500
$1,000 .
| ||||||
11 | (cc) For filing a registration statement as required in | ||||||
12 | Sections 131.13
and 131.14, the notification as required by | ||||||
13 | Sections 131.16,
131.20a, or 141.4, or an
agreement or | ||||||
14 | transaction required by Sections 124.2(2), 141, 141a, or
| ||||||
15 | 141.1, $100
$200 .
| ||||||
16 | (dd) For filing an application for licensing of:
| ||||||
17 | (i) a religious or charitable risk pooling trust or | ||||||
18 | a workers'
compensation pool, $500
$1,000 ;
| ||||||
19 | (ii) a workers' compensation service company, $250
| ||||||
20 | $500 ;
| ||||||
21 | (iii) a self-insured automobile fleet, $100
$200 ; | ||||||
22 | or
| ||||||
23 | (iv) a renewal of or amendment of any license | ||||||
24 | issued pursuant to (i),
(ii), or (iii) above, $50
$100 .
| ||||||
25 | (ee) For filing articles of incorporation for a | ||||||
26 | syndicate to engage in
the business of insurance through |
| |||||||
| |||||||
1 | the Illinois Insurance Exchange, $1,000
$2,000 .
| ||||||
2 | (ff) For filing amended articles of incorporation for a | ||||||
3 | syndicate engaged
in the business of insurance through the | ||||||
4 | Illinois Insurance Exchange, $50
$100 .
| ||||||
5 | (gg) For filing articles of incorporation for a limited | ||||||
6 | syndicate to
join with other subscribers or limited | ||||||
7 | syndicates to do business through
the Illinois Insurance | ||||||
8 | Exchange, $500
$1,000 .
| ||||||
9 | (hh) For filing amended articles of incorporation for a | ||||||
10 | limited
syndicate to do business through the Illinois | ||||||
11 | Insurance Exchange, $50
$100 .
| ||||||
12 | (ii) For a permit to solicit subscriptions to a | ||||||
13 | syndicate
or limited syndicate, $50
$100 .
| ||||||
14 | (jj) For the filing of each form as required in Section | ||||||
15 | 143 of this
Code, $50 per form. The fee for advisory and | ||||||
16 | rating
organizations shall be $100
$200 per form.
| ||||||
17 | (i) For the purposes of the form filing fee, | ||||||
18 | filings made on insert page
basis will be considered | ||||||
19 | one form at the time of its original submission.
| ||||||
20 | Changes made to a form subsequent to its approval shall | ||||||
21 | be considered a
new filing.
| ||||||
22 | (ii) Only one fee shall be charged for a form, | ||||||
23 | regardless of the number
of other forms or policies | ||||||
24 | with which it will be used.
| ||||||
25 | (iii) (Blank).
| ||||||
26 | (iv) The Director may by rule exempt forms from |
| |||||||
| |||||||
1 | such fees.
| ||||||
2 | (kk) For filing an application for licensing of a | ||||||
3 | reinsurance
intermediary, $250
$500 .
| ||||||
4 | (ll) For filing an application for renewal of a license | ||||||
5 | of a reinsurance
intermediary, $100
$200 .
| ||||||
6 | (2) When printed copies or numerous copies of the same | ||||||
7 | paper or records
are furnished or certified, the Director may | ||||||
8 | reduce such fees for copies
if he finds them excessive. He may, | ||||||
9 | when he considers it in the public
interest, furnish without | ||||||
10 | charge to state insurance departments and persons
other than | ||||||
11 | companies, copies or certified copies of reports of | ||||||
12 | examinations
and of other papers and records.
| ||||||
13 | (3) The expenses incurred in any performance
examination | ||||||
14 | authorized by law shall be paid by the company or person being
| ||||||
15 | examined. The charge shall be reasonably related to the cost of | ||||||
16 | the
examination including but not limited to compensation of | ||||||
17 | examiners,
electronic data processing costs, supervision and | ||||||
18 | preparation of an
examination report and lodging and travel | ||||||
19 | expenses.
All lodging and travel expenses shall be in accord
| ||||||
20 | with the applicable travel regulations as published by the | ||||||
21 | Department of
Central Management Services and approved by the | ||||||
22 | Governor's Travel Control
Board, except that out-of-state | ||||||
23 | lodging and travel expenses related to
examinations authorized | ||||||
24 | under Section 132 shall be in accordance with
travel rates | ||||||
25 | prescribed under paragraph 301-7.2 of the Federal Travel
| ||||||
26 | Regulations, 41 C.F.R. 301-7.2, for reimbursement of |
| |||||||
| |||||||
1 | subsistence expenses
incurred during official travel. All | ||||||
2 | lodging and travel expenses may be reimbursed directly upon | ||||||
3 | authorization of the
Director. With the exception of the
direct | ||||||
4 | reimbursements authorized by the
Director, all performance | ||||||
5 | examination charges collected by the
Department shall be paid
| ||||||
6 | to the Insurance Producers Administration Fund,
however, the | ||||||
7 | electronic data processing costs
incurred by the Department in | ||||||
8 | the performance of any examination shall be
billed directly to | ||||||
9 | the company being examined for payment to the
Statistical | ||||||
10 | Services Revolving Fund.
| ||||||
11 | (4) At the time of any service of process on the Director
| ||||||
12 | as attorney for such service, the Director shall charge and | ||||||
13 | collect the
sum of $10
$20 , which may be recovered as taxable | ||||||
14 | costs by
the party to the suit or action causing such service | ||||||
15 | to be made if he prevails
in such suit or action.
| ||||||
16 | (5) (a) The costs incurred by the Department of Insurance
| ||||||
17 | in conducting any hearing authorized by law shall be assessed | ||||||
18 | against the
parties to the hearing in such proportion as the | ||||||
19 | Director of Insurance may
determine upon consideration of all | ||||||
20 | relevant circumstances including: (1)
the nature of the | ||||||
21 | hearing; (2) whether the hearing was instigated by, or
for the | ||||||
22 | benefit of a particular party or parties; (3) whether there is | ||||||
23 | a
successful party on the merits of the proceeding; and (4) the | ||||||
24 | relative levels
of participation by the parties.
| ||||||
25 | (b) For purposes of this subsection (5) costs incurred | ||||||
26 | shall
mean the hearing officer fees, court reporter fees, and |
| |||||||
| |||||||
1 | travel expenses
of Department of Insurance officers and | ||||||
2 | employees; provided however, that
costs incurred shall not | ||||||
3 | include hearing officer fees or court reporter
fees unless the | ||||||
4 | Department has retained the services of independent
| ||||||
5 | contractors or outside experts to perform such functions.
| ||||||
6 | (c) The Director shall make the assessment of costs | ||||||
7 | incurred as part of
the final order or decision arising out of | ||||||
8 | the proceeding; provided, however,
that such order or decision | ||||||
9 | shall include findings and conclusions in support
of the | ||||||
10 | assessment of costs. This subsection (5) shall not be construed | ||||||
11 | as
permitting the payment of travel expenses unless calculated | ||||||
12 | in accordance
with the applicable travel regulations of the | ||||||
13 | Department
of Central Management Services, as approved by the | ||||||
14 | Governor's Travel Control
Board. The Director as part of such | ||||||
15 | order or decision shall require all
assessments for hearing | ||||||
16 | officer fees and court reporter fees, if any, to
be paid | ||||||
17 | directly to the hearing officer or court reporter by the | ||||||
18 | party(s)
assessed for such costs. The assessments for travel | ||||||
19 | expenses of Department
officers and employees shall be | ||||||
20 | reimbursable to the
Director of Insurance for
deposit to the | ||||||
21 | fund out of which those expenses had been paid.
| ||||||
22 | (d) The provisions of this subsection (5) shall apply in | ||||||
23 | the case of any
hearing conducted by the Director of Insurance | ||||||
24 | not otherwise specifically
provided for by law.
| ||||||
25 | (6) The Director shall charge and collect an annual | ||||||
26 | financial
regulation fee from every domestic company for |
| |||||||
| |||||||
1 | examination and analysis of
its financial condition and to fund | ||||||
2 | the internal costs and expenses of the
Interstate Insurance | ||||||
3 | Receivership Commission as may be allocated to the State
of | ||||||
4 | Illinois and companies doing an insurance business in this | ||||||
5 | State pursuant to
Article X of the Interstate Insurance | ||||||
6 | Receivership Compact. The fee shall be
the greater fixed amount | ||||||
7 | based upon
the combination of nationwide direct premium income | ||||||
8 | and
nationwide reinsurance
assumed premium
income or upon | ||||||
9 | admitted assets calculated under this subsection as follows:
| ||||||
10 | (a) Combination of nationwide direct premium income | ||||||
11 | and
nationwide reinsurance assumed premium.
| ||||||
12 | (i) $100
$150 , if the premium is less than $500,000 | ||||||
13 | and there is
no
reinsurance assumed premium;
| ||||||
14 | (ii) $500
$750 , if the premium is $500,000 or more, | ||||||
15 | but less
than $5,000,000
and there is no reinsurance | ||||||
16 | assumed premium; or if the premium is less than
| ||||||
17 | $5,000,000 and the reinsurance assumed premium is less | ||||||
18 | than $10,000,000;
| ||||||
19 | (iii) $2,500
$3,750 , if the premium is less than | ||||||
20 | $5,000,000 and
the reinsurance
assumed premium is | ||||||
21 | $10,000,000 or more;
| ||||||
22 | (iv) $5,000
$7,500 , if the premium is $5,000,000 or | ||||||
23 | more, but
less than
$10,000,000;
| ||||||
24 | (v) $12,000
$18,000 , if the premium is $10,000,000 | ||||||
25 | or more, but
less than $25,000,000;
| ||||||
26 | (vi) $15,000
$22,500 , if the premium is |
| |||||||
| |||||||
1 | $25,000,000 or more, but
less
than $50,000,000;
| ||||||
2 | (vii) $20,000
$30,000 , if the premium is | ||||||
3 | $50,000,000 or more,
but less than $100,000,000;
| ||||||
4 | (viii) $25,000
$37,500 , if the premium is | ||||||
5 | $100,000,000 or more.
| ||||||
6 | (b) Admitted assets.
| ||||||
7 | (i) $100
$150 , if admitted assets are less than | ||||||
8 | $1,000,000;
| ||||||
9 | (ii) $500
$750 , if admitted assets are $1,000,000 | ||||||
10 | or more, but
less than
$5,000,000;
| ||||||
11 | (iii) $2,500
$3,750 , if admitted assets are | ||||||
12 | $5,000,000 or more,
but less than
$25,000,000;
| ||||||
13 | (iv) $5,000
$7,500 , if admitted assets are | ||||||
14 | $25,000,000 or more,
but less than
$50,000,000;
| ||||||
15 | (v) $12,000
$18,000 , if admitted assets are | ||||||
16 | $50,000,000 or more,
but less than
$100,000,000;
| ||||||
17 | (vi) $15,000
$22,500 , if admitted assets are | ||||||
18 | $100,000,000 or
more, but less
than $500,000,000;
| ||||||
19 | (vii) $20,000
$30,000 , if admitted assets are | ||||||
20 | $500,000,000 or
more, but less
than $1,000,000,000;
| ||||||
21 | (viii) $25,000
$37,500 , if admitted assets are | ||||||
22 | $1,000,000,000
or more.
| ||||||
23 | (c) The sum of financial regulation fees charged to the | ||||||
24 | domestic
companies of the same affiliated group shall not | ||||||
25 | exceed $100,000
$250,000
in the aggregate in any single | ||||||
26 | year and shall be billed by the Director to
the member |
| |||||||
| |||||||
1 | company designated by the
group.
| ||||||
2 | (7) The Director shall charge and collect an annual | ||||||
3 | financial regulation
fee from every foreign or alien company, | ||||||
4 | except fraternal benefit
societies, for the
examination and | ||||||
5 | analysis of its financial condition and to fund the internal
| ||||||
6 | costs and expenses of the Interstate Insurance Receivership | ||||||
7 | Commission as may
be allocated to the State of Illinois and | ||||||
8 | companies doing an insurance business
in this State pursuant to | ||||||
9 | Article X of the Interstate Insurance Receivership
Compact.
The | ||||||
10 | fee shall be a fixed amount based upon Illinois direct premium | ||||||
11 | income
and nationwide reinsurance assumed premium income in | ||||||
12 | accordance with the
following schedule:
| ||||||
13 | (a) $100
$150 , if the premium is less than $500,000 and | ||||||
14 | there is
no
reinsurance assumed premium;
| ||||||
15 | (b) $500
$750 , if the premium is $500,000 or more, but | ||||||
16 | less than
$5,000,000
and there is no reinsurance assumed | ||||||
17 | premium;
or if the premium is less than $5,000,000 and the | ||||||
18 | reinsurance assumed
premium is less than $10,000,000;
| ||||||
19 | (c) $2,500
$3,750 , if the premium is less than | ||||||
20 | $5,000,000 and the
reinsurance
assumed premium is | ||||||
21 | $10,000,000 or more;
| ||||||
22 | (d) $5,000
$7,500 , if the premium is $5,000,000 or | ||||||
23 | more, but less
than
$10,000,000;
| ||||||
24 | (e) $12,000
$18,000 , if the premium is $10,000,000 or | ||||||
25 | more, but
less than
$25,000,000;
| ||||||
26 | (f) $15,000
$22,500 , if the premium is $25,000,000 or |
| |||||||
| |||||||
1 | more, but
less than
$50,000,000;
| ||||||
2 | (g) $20,000
$30,000 , if the premium is $50,000,000 or | ||||||
3 | more, but
less than
$100,000,000;
| ||||||
4 | (h) $25,000
$37,500 , if the premium is $100,000,000 or | ||||||
5 | more.
| ||||||
6 | The sum of financial regulation fees under this subsection | ||||||
7 | (7)
charged to the foreign or alien companies within the same | ||||||
8 | affiliated group
shall not exceed $100,000
$250,000 in the | ||||||
9 | aggregate in any single year
and shall be
billed by the | ||||||
10 | Director to the member company designated by the group.
| ||||||
11 | (8) Beginning January 1, 1992, the financial regulation | ||||||
12 | fees imposed
under subsections (6) and (7)
of this Section | ||||||
13 | shall be paid by each company or domestic affiliated group
| ||||||
14 | annually. After January
1, 1994, the fee shall be billed by | ||||||
15 | Department invoice
based upon the company's
premium income or | ||||||
16 | admitted assets as shown in its annual statement for the
| ||||||
17 | preceding calendar year. The invoice is due upon
receipt and | ||||||
18 | must be paid no later than June 30 of each calendar year. All
| ||||||
19 | financial
regulation fees collected by the Department shall be | ||||||
20 | paid to the Insurance
Financial Regulation Fund. The Department | ||||||
21 | may not collect financial
examiner per diem charges from | ||||||
22 | companies subject to subsections (6) and (7)
of this Section | ||||||
23 | undergoing financial examination
after June 30, 1992.
| ||||||
24 | (9) In addition to the financial regulation fee required by | ||||||
25 | this
Section, a company undergoing any financial examination | ||||||
26 | authorized by law
shall pay the following costs and expenses |
| |||||||
| |||||||
1 | incurred by the Department:
electronic data processing costs, | ||||||
2 | the expenses authorized under Section 131.21
and
subsection (d) | ||||||
3 | of Section 132.4 of this Code, and lodging and travel expenses.
| ||||||
4 | Electronic data processing costs incurred by the | ||||||
5 | Department in the
performance of any examination shall be | ||||||
6 | billed directly to the company
undergoing examination for | ||||||
7 | payment to the Statistical Services Revolving
Fund. Except for | ||||||
8 | direct reimbursements authorized by the Director or
direct | ||||||
9 | payments made under Section 131.21 or subsection (d) of Section
| ||||||
10 | 132.4 of this Code, all financial regulation fees and all | ||||||
11 | financial
examination charges collected by the Department | ||||||
12 | shall be paid to the
Insurance Financial Regulation Fund.
| ||||||
13 | All lodging and travel expenses shall be in accordance with | ||||||
14 | applicable
travel regulations published by the Department of | ||||||
15 | Central Management
Services and approved by the Governor's | ||||||
16 | Travel Control Board, except that
out-of-state lodging and | ||||||
17 | travel expenses related to examinations authorized
under | ||||||
18 | Sections 132.1 through 132.7 shall be in accordance
with travel | ||||||
19 | rates prescribed
under paragraph 301-7.2 of the Federal Travel | ||||||
20 | Regulations, 41 C.F.R. 301-7.2,
for reimbursement of | ||||||
21 | subsistence expenses incurred during official travel.
All | ||||||
22 | lodging and travel expenses may be
reimbursed directly upon the | ||||||
23 | authorization of the Director.
| ||||||
24 | In the case of an organization or person not subject to the | ||||||
25 | financial
regulation fee, the expenses incurred in any | ||||||
26 | financial examination authorized
by law shall be paid by the |
| |||||||
| |||||||
1 | organization or person being examined. The charge
shall be | ||||||
2 | reasonably related to the cost of the examination including, | ||||||
3 | but not
limited to, compensation of examiners and other costs | ||||||
4 | described in this
subsection.
| ||||||
5 | (10) Any company, person, or entity failing to make any | ||||||
6 | payment of $100
$150
or more as required under this Section | ||||||
7 | shall be subject to the penalty and
interest provisions | ||||||
8 | provided for in subsections (4) and (7)
of Section 412.
| ||||||
9 | (11) Unless otherwise specified, all of the fees collected | ||||||
10 | under this
Section shall be paid into the Insurance Financial | ||||||
11 | Regulation Fund.
| ||||||
12 | (12) For purposes of this Section:
| ||||||
13 | (a) "Domestic company" means a company as defined in | ||||||
14 | Section 2 of this
Code which is incorporated or organized | ||||||
15 | under the laws of this State, and in
addition includes a | ||||||
16 | not-for-profit corporation authorized under the Dental
| ||||||
17 | Service Plan Act or the Voluntary Health
Services Plans | ||||||
18 | Act, a health maintenance organization, and a
limited
| ||||||
19 | health service organization.
| ||||||
20 | (b) "Foreign company" means a company as defined in | ||||||
21 | Section 2 of this
Code which is incorporated or organized | ||||||
22 | under the laws of any state of the
United States other than | ||||||
23 | this State and in addition includes a health
maintenance | ||||||
24 | organization and a limited health service organization | ||||||
25 | which is
incorporated or organized under the laws
of any | ||||||
26 | state of the United States other than this State.
|
| |||||||
| |||||||
1 | (c) "Alien company" means a company as defined in | ||||||
2 | Section 2 of this Code
which is incorporated or organized | ||||||
3 | under the laws of any country other than
the United States.
| ||||||
4 | (d) "Fraternal benefit society" means a corporation, | ||||||
5 | society, order,
lodge or voluntary association as defined | ||||||
6 | in Section 282.1 of this
Code.
| ||||||
7 | (e) "Mutual benefit association" means a company, | ||||||
8 | association or
corporation authorized by the Director to do | ||||||
9 | business in this State under
the provisions of Article | ||||||
10 | XVIII of this Code.
| ||||||
11 | (f) "Burial society" means a person, firm, | ||||||
12 | corporation, society or
association of individuals | ||||||
13 | authorized by the Director to do business in
this State | ||||||
14 | under the provisions of Article XIX of this Code.
| ||||||
15 | (g) "Farm mutual" means a district, county and township | ||||||
16 | mutual insurance
company authorized by the Director to do | ||||||
17 | business in this State under the
provisions of the Farm | ||||||
18 | Mutual Insurance Company Act of 1986.
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03; 93-1083, eff. 2-7-05.)
| ||||||
20 | (215 ILCS 5/412) (from Ch. 73, par. 1024)
| ||||||
21 | Sec. 412. Refunds; penalties; collection.
| ||||||
22 | (1) (a) Whenever it appears to
the satisfaction of the | ||||||
23 | Director that because of some mistake of fact,
error in | ||||||
24 | calculation, or erroneous interpretation of a statute of | ||||||
25 | this
or any other state, any authorized company has paid to |
| |||||||
| |||||||
1 | him, pursuant to
any provision of law, taxes, fees, or | ||||||
2 | other charges
in excess of the
amount legally chargeable | ||||||
3 | against it, during the 6 year period
immediately preceding | ||||||
4 | the discovery of such overpayment, he shall have
power to | ||||||
5 | refund to such company the amount of the excess or excesses | ||||||
6 | by
applying the amount or amounts thereof toward
the | ||||||
7 | payment of taxes, fees, or other charges already due, or | ||||||
8 | which may
thereafter become due from that company until | ||||||
9 | such excess or excesses have been
fully
refunded, or upon a | ||||||
10 | written request from the authorized company, the
Director | ||||||
11 | shall provide a cash refund within
120 days after receipt | ||||||
12 | of the written request if all necessary information has
| ||||||
13 | been filed with the Department in order for it to perform | ||||||
14 | an audit of the
annual return for the year in which the | ||||||
15 | overpayment occurred or within 120 days
after the date the | ||||||
16 | Department receives all the necessary information to | ||||||
17 | perform
such audit. The Director shall not provide a cash | ||||||
18 | refund if there are
insufficient funds in the Insurance | ||||||
19 | Premium Tax Refund Fund to provide a cash
refund, if the | ||||||
20 | amount of the overpayment is less than $100, or if the | ||||||
21 | amount of
the overpayment can be fully offset against the | ||||||
22 | taxpayer's estimated liability
for the year following the | ||||||
23 | year of the cash refund request. Any cash refund
shall be | ||||||
24 | paid from the Insurance Premium Tax Refund Fund, a special | ||||||
25 | fund hereby
created in the
State treasury.
| ||||||
26 | (b) Beginning January 1, 2000 and thereafter, the |
| |||||||
| |||||||
1 | Department shall deposit
a percentage of the amounts | ||||||
2 | collected under Sections 409, 444, and 444.1 of
this
Code | ||||||
3 | into the Insurance Premium Tax Refund Fund. The percentage | ||||||
4 | deposited into
the Insurance Premium Tax Refund Fund shall | ||||||
5 | be the annual percentage. The
annual
percentage shall be | ||||||
6 | calculated as a fraction, the numerator of which shall be
| ||||||
7 | the amount of cash refunds approved by the Director for | ||||||
8 | payment and paid during
the preceding calendar year as a | ||||||
9 | result of overpayment of tax liability under
Sections 409, | ||||||
10 | 444, and 444.1 of this Code and the denominator of which | ||||||
11 | shall
be the amounts collected pursuant to Sections 409, | ||||||
12 | 444, and 444.1 of this Code
during the preceding calendar | ||||||
13 | year. However, if there were no cash refunds
paid in a | ||||||
14 | preceding calendar year, the Department shall deposit 5% of | ||||||
15 | the
amount collected in that preceding calendar year | ||||||
16 | pursuant to Sections 409, 444,
and 444.1 of this Code into | ||||||
17 | the Insurance Premium Tax Refund Fund instead of an
amount | ||||||
18 | calculated by using the annual percentage.
| ||||||
19 | (c) Beginning July 1, 1999, moneys in the Insurance | ||||||
20 | Premium Tax Refund
Fund
shall be expended exclusively for | ||||||
21 | the purpose of paying cash refunds resulting
from | ||||||
22 | overpayment of tax liability under Sections 409, 444, and | ||||||
23 | 444.1 of this
Code
as
determined by the Director pursuant | ||||||
24 | to subsection 1(a) of this Section. Cash
refunds made in | ||||||
25 | accordance with this Section may be made from the Insurance
| ||||||
26 | Premium Tax Refund Fund only to the extent that amounts |
| |||||||
| |||||||
1 | have been deposited and
retained in the Insurance Premium | ||||||
2 | Tax Refund Fund.
| ||||||
3 | (d) This Section shall constitute an irrevocable and | ||||||
4 | continuing
appropriation from the Insurance Premium Tax | ||||||
5 | Refund Fund for the purpose of
paying cash refunds pursuant | ||||||
6 | to the provisions of this Section.
| ||||||
7 | (2) When any insurance company or any surplus line producer | ||||||
8 | fails to
file any tax return required under Sections 408.1, | ||||||
9 | 409, 444, 444.1 and 445 of
this Code or Section 12 of the Fire | ||||||
10 | Investigation Act on the date
prescribed, including any | ||||||
11 | extensions, there shall be added as a penalty
$200
$400 or 5%
| ||||||
12 | 10% of the amount of such tax, whichever is
greater, for each | ||||||
13 | month
or part of a month of failure to file, the entire penalty | ||||||
14 | not to exceed
$1,000 or 25%
$2,000 or 50% of the tax due, | ||||||
15 | whichever is greater.
| ||||||
16 | (3) (a) When any insurance company or any surplus line | ||||||
17 | producer
fails to pay the full amount due under the | ||||||
18 | provisions of this Section,
Sections 408.1, 409, 444, 444.1 | ||||||
19 | or 445 of this Code, or Section 12 of the
Fire | ||||||
20 | Investigation Act, there shall be added to the amount due | ||||||
21 | as a penalty
an amount equal to 5%
10% of the deficiency.
| ||||||
22 | (b) If such failure to pay is determined by the | ||||||
23 | Director to be wilful,
after a hearing under Sections 402 | ||||||
24 | and 403, there shall be added to the tax
as a penalty an | ||||||
25 | amount equal to the greater of 25%
50% of the
deficiency or | ||||||
26 | 5%
10%
of the amount due and unpaid for each month or part |
| |||||||
| |||||||
1 | of a month that the
deficiency remains unpaid commencing | ||||||
2 | with the date that the amount becomes
due. Such amount | ||||||
3 | shall be in lieu of any determined under paragraph (a).
| ||||||
4 | (4) Any insurance company or any surplus line producer | ||||||
5 | which
fails to pay the full amount due under this Section or | ||||||
6 | Sections 408.1, 409,
444, 444.1 or 445 of this Code, or Section | ||||||
7 | 12 of the Fire Investigation
Act is liable, in addition to the | ||||||
8 | tax and any penalties, for interest
on such deficiency at the | ||||||
9 | rate of 12% per annum, or at such higher adjusted
rates as are | ||||||
10 | or may be established under subsection (b) of Section 6621
of | ||||||
11 | the Internal Revenue Code, from the date that payment of any | ||||||
12 | such tax
was due, determined without regard to any extensions, | ||||||
13 | to the date of payment
of such amount.
| ||||||
14 | (5) The Director, through the Attorney
General, may | ||||||
15 | institute an action in the name of the People of the State
of | ||||||
16 | Illinois, in any court of competent jurisdiction, for the | ||||||
17 | recovery of
the amount of such taxes, fees, and penalties due, | ||||||
18 | and prosecute the same to
final judgment, and take such steps | ||||||
19 | as are necessary to collect the same.
| ||||||
20 | (6) In the event that the certificate of authority of a | ||||||
21 | foreign or
alien company is revoked for any cause or the | ||||||
22 | company withdraws from
this State prior to the renewal date of | ||||||
23 | the certificate of authority as
provided in Section 114, the | ||||||
24 | company may recover the amount of any such
tax paid in advance. | ||||||
25 | Except as provided in this subsection, no
revocation or | ||||||
26 | withdrawal excuses payment of or constitutes grounds for
the |
| |||||||
| |||||||
1 | recovery of any taxes or penalties imposed by this Code.
| ||||||
2 | (7) When an insurance company or domestic affiliated group | ||||||
3 | fails to pay
the full amount of any fee of $100
$200 or more due | ||||||
4 | under
Section 408 of this Code, there shall be added to the | ||||||
5 | amount due as
a penalty the greater of $50
$100 or an amount | ||||||
6 | equal to 5%
10%
of the deficiency for
each month or part of
a | ||||||
7 | month that the deficiency remains unpaid.
| ||||||
8 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
9 | (215 ILCS 5/431) (from Ch. 73, par. 1038)
| ||||||
10 | Sec. 431. Penalty. Any person who violates a cease and | ||||||
11 | desist order of the Director under
Section 427, after it has | ||||||
12 | become final, and while such order is in
effect, or who | ||||||
13 | violates an order of the Circuit Court under Section 429,
| ||||||
14 | shall, upon proof thereof to the satisfaction of the court, | ||||||
15 | forfeit and pay
to the State of Illinois, a sum not to exceed | ||||||
16 | $500
$1,000 , which may be
recovered
in a civil action, for each | ||||||
17 | violation.
| ||||||
18 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
19 | (215 ILCS 5/445) (from Ch. 73, par. 1057)
| ||||||
20 | Sec. 445. Surplus line.
| ||||||
21 | (1) Surplus line defined; surplus line insurer
| ||||||
22 | requirements. "Surplus line insurance" means insurance on an | ||||||
23 | Illinois risk of
the kinds specified in Classes 2 and 3 of | ||||||
24 | Section 4 of this Code procured
from an unauthorized insurer
|
| |||||||
| |||||||
1 | after the insurance producer representing the
insured or the | ||||||
2 | surplus line producer is unable, after diligent effort, to
| ||||||
3 | procure said insurance from authorized insurers.
| ||||||
4 | "Authorized insurer" means an insurer that holds a | ||||||
5 | certificate of
authority
issued by the Director but, for the | ||||||
6 | purposes of this Section, does not
include a
domestic surplus | ||||||
7 | line insurer as defined in Section 445a or any
residual market
| ||||||
8 | mechanism. | ||||||
9 | "Residual market mechanism" means an association, | ||||||
10 | organization, or other
entity described in Article XXXIII of | ||||||
11 | this Code or Section 7-501 of the
Illinois Vehicle Code or any | ||||||
12 | similar association, organization, or other
entity. | ||||||
13 | "Unauthorized insurer" means an insurer that does not hold | ||||||
14 | a valid
certificate of authority issued by the Director but, | ||||||
15 | for the purposes of this
Section, shall also include a domestic | ||||||
16 | surplus line insurer as defined in
Section 445a.
| ||||||
17 | Insurance producers may procure surplus line insurance | ||||||
18 | only if licensed
as a surplus line producer under this Section | ||||||
19 | and may procure that
insurance only from an unauthorized | ||||||
20 | insurer:
| ||||||
21 | (a) that based upon information available to the | ||||||
22 | surplus
line producer
has a policyholders surplus of not | ||||||
23 | less than $15,000,000
determined in
accordance with | ||||||
24 | accounting rules that are applicable to
authorized | ||||||
25 | insurers;
and
| ||||||
26 | (b) that has standards of solvency and management that |
| |||||||
| |||||||
1 | are adequate
for the protection of policyholders; and
| ||||||
2 | (c) where an unauthorized insurer does not meet the
| ||||||
3 | standards set forth
in (a) and (b) above, a surplus line | ||||||
4 | producer may, if necessary, procure
insurance from that | ||||||
5 | insurer only if prior written warning of
such fact or
| ||||||
6 | condition is given to the insured by the insurance producer | ||||||
7 | or surplus line
producer.
| ||||||
8 | Insurance producers shall not procure from an
unauthorized | ||||||
9 | insurer an insurance policy: | ||||||
10 | (i) that is designed to satisfy the
proof of financial | ||||||
11 | responsibility and insurance requirements in any
Illinois | ||||||
12 | law where the law requires that the proof of
insurance is | ||||||
13 | issued by an authorized insurer or residual market
| ||||||
14 | mechanism; | ||||||
15 | (ii) that covers the risk of accidental injury to | ||||||
16 | employees arising
out of and in the course of employment | ||||||
17 | according to the provisions of the
Workers' Compensation | ||||||
18 | Act; or | ||||||
19 | (iii) that insures any Illinois personal lines risk, as | ||||||
20 | defined in
subsection (a), (b), or (c) of Section 143.13 of | ||||||
21 | this Code, that is eligible
for residual market mechanism | ||||||
22 | coverage, unless the insured or prospective
insured | ||||||
23 | requests limits of liability greater than the limits | ||||||
24 | provided by the
residual market mechanism. In the course of | ||||||
25 | making a diligent effort to
procure insurance from | ||||||
26 | authorized insurers, an insurance producer shall not be
|
| |||||||
| |||||||
1 | required to submit a risk to a residual market mechanism | ||||||
2 | when the risk is not
eligible for coverage or exceeds the | ||||||
3 | limits available in the residual market
mechanism. | ||||||
4 | Where there is an insurance policy issued by an
authorized | ||||||
5 | insurer or residual market mechanism
insuring a risk described | ||||||
6 | in item (i), (ii), or (iii)
above, nothing in this paragraph | ||||||
7 | shall be construed
to prohibit a surplus line producer from | ||||||
8 | procuring
from an unauthorized insurer a policy insuring the
| ||||||
9 | risk on an excess or umbrella basis where the excess
or | ||||||
10 | umbrella policy is written over one or more
underlying | ||||||
11 | policies.
| ||||||
12 | (2) Surplus line producer; license. Any licensed producer | ||||||
13 | who is a
resident of this State, or any nonresident who | ||||||
14 | qualifies under Section
500-40, may be licensed as a surplus | ||||||
15 | line producer upon:
| ||||||
16 | (a) completing a prelicensing course of study. The
| ||||||
17 | course provided for by this Section shall be conducted
| ||||||
18 | under rules and
regulations prescribed by the Director. The | ||||||
19 | Director may administer the
course or may make | ||||||
20 | arrangements, including contracting with
an outside
| ||||||
21 | educational service, for administering the course and
| ||||||
22 | collecting the non-refundable application fee provided for | ||||||
23 | in this subsection.
Any
charges assessed
by the Director or | ||||||
24 | the educational service for administering
the course
shall | ||||||
25 | be paid directly by the individual applicants. Each | ||||||
26 | applicant
required to take the course shall enclose with |
| |||||||
| |||||||
1 | the application a non-refundable
$10
$20
application
fee | ||||||
2 | payable to the Director plus a separate course
| ||||||
3 | administration fee. An applicant who fails to appear for | ||||||
4 | the
course as scheduled, or appears but fails to complete | ||||||
5 | the
course, shall not be
entitled to any refund, and shall | ||||||
6 | be required to submit a new request to
attend the course | ||||||
7 | together with all the requisite fees before being | ||||||
8 | rescheduled
for another course at a later date; and
| ||||||
9 | (b) payment of an annual license fee of $200
$400 ; and
| ||||||
10 | (c) procurement of the surety bond required in | ||||||
11 | subsection (4) of this
Section.
| ||||||
12 | A surplus line producer so licensed shall keep a separate
| ||||||
13 | account of
the business transacted thereunder which shall be | ||||||
14 | open at all times to the
inspection of the Director or his | ||||||
15 | representative.
| ||||||
16 | The prelicensing course of study requirement in (a) above
| ||||||
17 | shall not apply to insurance
producers who were licensed under | ||||||
18 | the Illinois surplus line law on or before
January 1, 2002.
| ||||||
19 | (3) Taxes and reports.
| ||||||
20 | (a) Surplus line tax and penalty for late payment.
| ||||||
21 | A surplus line producer shall file with the Director on | ||||||
22 | or
before
February 1 and August 1 of each year a report in | ||||||
23 | the form prescribed by the
Director on all surplus line | ||||||
24 | insurance procured from unauthorized insurers
during the | ||||||
25 | preceding
6 month period ending December 31 or June 30
| ||||||
26 | respectively, and on the filing of such report shall pay to |
| |||||||
| |||||||
1 | the Director
for the use and benefit of the State a sum | ||||||
2 | equal to 3%
3.5% of the
gross
premiums less returned | ||||||
3 | premiums upon all surplus line insurance procured
or | ||||||
4 | cancelled during the preceding 6 months.
| ||||||
5 | Any surplus line producer who fails to pay the full | ||||||
6 | amount due under this
subsection is liable, in addition to | ||||||
7 | the amount due, for such
penalty and interest charges as | ||||||
8 | are provided for under Section 412 of
this Code. The | ||||||
9 | Director, through the
Attorney General, may
institute an | ||||||
10 | action in the name of the People of the State of Illinois, | ||||||
11 | in
any court of competent jurisdiction, for the recovery of | ||||||
12 | the amount of such
taxes and penalties due, and prosecute | ||||||
13 | the same to final judgment, and take
such steps as are | ||||||
14 | necessary to collect the same.
| ||||||
15 | (b) Fire Marshal Tax.
| ||||||
16 | Each surplus line producer shall file with the Director | ||||||
17 | on or before
March 31 of each year a report in the form | ||||||
18 | prescribed by the Director on all
fire insurance procured | ||||||
19 | from unauthorized insurers subject to tax under
Section 12 | ||||||
20 | of the Fire Investigation
Act
and shall pay to the Director | ||||||
21 | the fire marshal tax required thereunder.
| ||||||
22 | (c) Taxes and fees charged to insured. The taxes | ||||||
23 | imposed under this
subsection and the countersigning fees | ||||||
24 | charged by the Surplus Line
Association of Illinois may be | ||||||
25 | charged to and collected from surplus line
insureds.
| ||||||
26 | (4) Bond. Each surplus line producer, as a condition to |
| |||||||
| |||||||
1 | receiving a
surplus line producer's license, shall execute and | ||||||
2 | deliver to the Director
a surety bond to the People of the | ||||||
3 | State in the penal sum of $20,000, with
a surety which is | ||||||
4 | authorized to transact business in this State,
conditioned that | ||||||
5 | the surplus line producer will pay to the Director the tax,
| ||||||
6 | interest and penalties levied under subsection (3) of this | ||||||
7 | Section.
| ||||||
8 | (5) Submission of documents to Surplus Line Association of | ||||||
9 | Illinois.
A surplus line producer shall submit every insurance | ||||||
10 | contract
issued
under his or her license to the Surplus Line | ||||||
11 | Association of Illinois for
recording and countersignature. | ||||||
12 | The submission and countersignature may be
effected through | ||||||
13 | electronic means. The submission shall set
forth:
| ||||||
14 | (a) the name of the insured;
| ||||||
15 | (b) the description and location of the insured | ||||||
16 | property or
risk;
| ||||||
17 | (c) the amount insured;
| ||||||
18 | (d) the gross premiums charged or returned;
| ||||||
19 | (e) the name of the unauthorized insurer from whom | ||||||
20 | coverage has been procured;
| ||||||
21 | (f) the kind or kinds of insurance procured; and
| ||||||
22 | (g) amount of premium subject to tax required by | ||||||
23 | Section 12 of the Fire
Investigation Act.
| ||||||
24 | Proposals, endorsements, and other documents which are
| ||||||
25 | incidental to the insurance but which do not affect the premium
| ||||||
26 | charged
are exempted from filing and countersignature.
|
| |||||||
| |||||||
1 | The submission of insuring contracts
to the Surplus Line | ||||||
2 | Association of
Illinois constitutes a certification by the | ||||||
3 | surplus line producer or by the
insurance producer who | ||||||
4 | presented the risk to the surplus line producer for
placement | ||||||
5 | as a surplus line risk that
after diligent effort the required | ||||||
6 | insurance could not be procured from
authorized insurers and | ||||||
7 | that
such procurement was otherwise in accordance with the | ||||||
8 | surplus line law.
| ||||||
9 | (6) Countersignature required. It shall be unlawful for an | ||||||
10 | insurance
producer to deliver any unauthorized insurer
| ||||||
11 | contract unless such
insurance contract is countersigned by the | ||||||
12 | Surplus Line Association of
Illinois.
| ||||||
13 | (7) Inspection of records. A surplus line producer shall
| ||||||
14 | maintain
separate records of the business transacted under his | ||||||
15 | or her license,
including complete copies of surplus line | ||||||
16 | insurance contracts maintained on
paper or by electronic means, | ||||||
17 | which
records shall be open at all times for inspection by the | ||||||
18 | Director and by
the Surplus Line Association of Illinois.
| ||||||
19 | (8) Violations and penalties. The Director may suspend or | ||||||
20 | revoke or
refuse to renew a surplus line producer license for | ||||||
21 | any violation of this Code.
In addition to or in lieu of | ||||||
22 | suspension or revocation, the Director may
subject a surplus | ||||||
23 | line producer
to a civil penalty of up to $1,000
$2,000 for | ||||||
24 | each cause for suspension
or
revocation. Such penalty is | ||||||
25 | enforceable under subsection (5) of Section
403A of this Code.
| ||||||
26 | (9) Director may declare insurer ineligible. If the
|
| |||||||
| |||||||
1 | Director determines
that the further assumption of risks might | ||||||
2 | be hazardous to the
policyholders of an unauthorized insurer, | ||||||
3 | the Director may
order the
Surplus Line Association of
Illinois | ||||||
4 | not to countersign insurance contracts evidencing insurance in
| ||||||
5 | such insurer and order surplus line producers to cease
| ||||||
6 | procuring insurance
from such insurer.
| ||||||
7 | (10) Service of process upon Director. Insurance contracts
| ||||||
8 | delivered under this Section from unauthorized insurers, other | ||||||
9 | than domestic
surplus line insurers as defined in Section 445a,
| ||||||
10 | shall contain a
provision designating the
Director and his | ||||||
11 | successors in office the true and lawful attorney of the
| ||||||
12 | insurer upon whom may be served all lawful process in any
| ||||||
13 | action, suit or
proceeding arising out of such insurance.
| ||||||
14 | Service of process made upon the Director to be valid hereunder | ||||||
15 | must state
the name of the insured, the name of the | ||||||
16 | unauthorized insurer
and identify
the contract of insurance. | ||||||
17 | The Director at his option is authorized to
forward a copy of | ||||||
18 | the process to the Surplus Line Association of Illinois
for | ||||||
19 | delivery to the unauthorized insurer or the Director may | ||||||
20 | deliver the process to the
unauthorized insurer by other means | ||||||
21 | which he considers to be
reasonably
prompt and certain.
| ||||||
22 | (10.5) Insurance contracts delivered under this Section | ||||||
23 | from unauthorized insurers, other than domestic surplus line | ||||||
24 | insurers as defined in Section 445a, shall have stamped or | ||||||
25 | imprinted on the first page thereof in not less than 12-pt. | ||||||
26 | bold face type the following legend: "Notice to Policyholder: |
| |||||||
| |||||||
1 | This contract is issued, pursuant to Section 445 of the | ||||||
2 | Illinois Insurance Code, by a company not authorized and | ||||||
3 | licensed to transact business in Illinois and as such is not | ||||||
4 | covered by the Illinois Insurance Guaranty Fund." Insurance | ||||||
5 | contracts delivered under this Section from domestic surplus | ||||||
6 | line insurers as defined in Section 445a shall have stamped or | ||||||
7 | imprinted on the first page thereof in not less than 12-pt. | ||||||
8 | bold face type the following legend: "Notice to Policyholder: | ||||||
9 | This contract is issued by a domestic surplus line insurer, as | ||||||
10 | defined in Section 445a of the Illinois Insurance Code, | ||||||
11 | pursuant to Section 445, and as such is not covered by the | ||||||
12 | Illinois Insurance Guaranty Fund."
| ||||||
13 | (11) The Illinois Surplus Line law does not apply to | ||||||
14 | insurance of
property and operations of railroads or aircraft | ||||||
15 | engaged in interstate or
foreign commerce, insurance of | ||||||
16 | vessels, crafts or hulls, cargoes, marine
builder's risks, | ||||||
17 | marine protection and indemnity, or other risks including
| ||||||
18 | strikes and war risks insured under ocean or wet marine forms | ||||||
19 | of policies.
| ||||||
20 | (12) Surplus line insurance procured under this Section, | ||||||
21 | including
insurance procured from a domestic surplus line | ||||||
22 | insurer, is not subject
to the provisions of the Illinois | ||||||
23 | Insurance Code other than Sections 123,
123.1, 401, 401.1, 402, | ||||||
24 | 403, 403A, 408, 412, 445, 445.1, 445.2, 445.3,
445.4, and all | ||||||
25 | of the provisions of Article XXXI to the extent that the
| ||||||
26 | provisions of Article XXXI are not inconsistent with the terms |
| |||||||
| |||||||
1 | of this Act.
| ||||||
2 | (Source: P.A. 92-386, eff. 1-1-02; 93-29, eff. 6-20-03; 93-32, | ||||||
3 | eff. 7-1-03; 93-876, eff. 8-6-04.)
| ||||||
4 | (215 ILCS 5/500-70)
| ||||||
5 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
6 | Sec. 500-70. License denial, nonrenewal, or revocation.
| ||||||
7 | (a) The Director may place on probation, suspend, revoke, | ||||||
8 | or refuse to issue
or renew
an insurance producer's license or | ||||||
9 | may levy a civil penalty in accordance with
this Section or
| ||||||
10 | take any combination of actions, for any one or more of the | ||||||
11 | following causes:
| ||||||
12 | (1) providing incorrect, misleading, incomplete, or | ||||||
13 | materially untrue
information in the license application;
| ||||||
14 | (2) violating any insurance laws, or violating any | ||||||
15 | rule, subpoena, or
order of
the Director or of another | ||||||
16 | state's insurance commissioner;
| ||||||
17 | (3) obtaining or attempting to obtain a license through | ||||||
18 | misrepresentation
or
fraud;
| ||||||
19 | (4) improperly withholding, misappropriating or | ||||||
20 | converting any moneys or
properties received in the course | ||||||
21 | of doing insurance business;
| ||||||
22 | (5) intentionally misrepresenting the terms of an | ||||||
23 | actual or proposed
insurance
contract or application for | ||||||
24 | insurance;
| ||||||
25 | (6) having been convicted of a felony;
|
| |||||||
| |||||||
1 | (7) having admitted or been found to have committed any | ||||||
2 | insurance unfair
trade practice or fraud;
| ||||||
3 | (8) using fraudulent, coercive, or dishonest | ||||||
4 | practices, or demonstrating
incompetence, | ||||||
5 | untrustworthiness or financial irresponsibility in the | ||||||
6 | conduct of
business in
this State or elsewhere;
| ||||||
7 | (9) having an insurance producer license,
or its | ||||||
8 | equivalent, denied, suspended,
or revoked in any other | ||||||
9 | state, province, district or territory;
| ||||||
10 | (10) forging a name to an application for insurance or | ||||||
11 | to a document
related
to
an insurance transaction;
| ||||||
12 | (11) improperly using notes or any other reference | ||||||
13 | material to complete an
examination for an insurance | ||||||
14 | license;
| ||||||
15 | (12) knowingly accepting insurance business from an | ||||||
16 | individual who is not
licensed;
| ||||||
17 | (13) failing to comply with an administrative or court | ||||||
18 | order imposing a
child
support obligation;
| ||||||
19 | (14) failing to pay state income tax or penalty or | ||||||
20 | interest or comply with
any
administrative or court order | ||||||
21 | directing payment of state income tax or failed
to file a
| ||||||
22 | return or to pay any final assessment of any tax due to the | ||||||
23 | Department of
Revenue; or
| ||||||
24 | (15) failing to make satisfactory repayment to the | ||||||
25 | Illinois Student
Assistance
Commission for a delinquent or | ||||||
26 | defaulted student loan.
|
| |||||||
| |||||||
1 | (b) If the action by the Director is to nonrenew, suspend, | ||||||
2 | or revoke a
license or to
deny an application for a license, | ||||||
3 | the Director shall notify the applicant or
licensee and advise, | ||||||
4 | in
writing, the applicant or licensee of the reason for the | ||||||
5 | suspension,
revocation, denial or
nonrenewal of the | ||||||
6 | applicant's or licensee's license. The applicant or licensee
| ||||||
7 | may make written
demand upon the Director within 30 days after | ||||||
8 | the date of mailing for a hearing
before the
Director to | ||||||
9 | determine the reasonableness of the Director's action. The | ||||||
10 | hearing
must be held
within not fewer than 20 days nor more | ||||||
11 | than 30 days after the mailing of the
notice of hearing
and | ||||||
12 | shall be held pursuant to 50 Ill. Adm. Code 2402.
| ||||||
13 | (c) The license of a business entity may be suspended, | ||||||
14 | revoked, or refused
if the
Director finds, after hearing, that | ||||||
15 | an individual licensee's violation was
known or should have
| ||||||
16 | been known by one or more of the partners, officers, or | ||||||
17 | managers acting on
behalf of the
partnership, corporation, | ||||||
18 | limited liability company, or limited liability
partnership | ||||||
19 | and the
violation was neither reported to the Director nor | ||||||
20 | corrective action taken.
| ||||||
21 | (d) In addition to or instead of any applicable denial, | ||||||
22 | suspension, or
revocation of a
license, a person may, after | ||||||
23 | hearing, be subject to a civil penalty of up to
$5,000 $10,000 | ||||||
24 | for each cause for
denial, suspension, or revocation, however, | ||||||
25 | the civil penalty may total no more
than $20,000 $100,000 .
| ||||||
26 | (e) The Director has the authority to enforce the |
| |||||||
| |||||||
1 | provisions of and impose
any penalty
or remedy authorized by | ||||||
2 | this Article against any person who is under
investigation for | ||||||
3 | or charged
with a violation of this Code or rules even if the | ||||||
4 | person's license or
registration has been
surrendered or has | ||||||
5 | lapsed by operation of law.
| ||||||
6 | (f) Upon the suspension, denial, or revocation of a | ||||||
7 | license, the licensee or
other
person having possession or | ||||||
8 | custody of the license shall promptly deliver it to
the | ||||||
9 | Director in
person or by mail. The Director shall publish all | ||||||
10 | suspensions, denials, or
revocations after the
suspensions, | ||||||
11 | denials, or revocations become final in a manner designed to
| ||||||
12 | notify interested
insurance companies and other persons.
| ||||||
13 | (g) A person whose license is revoked or whose application | ||||||
14 | is denied
pursuant to this
Section is ineligible to apply for | ||||||
15 | any license for 3 years after the revocation
or denial. A | ||||||
16 | person
whose license as an insurance producer has been revoked, | ||||||
17 | suspended, or denied
may not be
employed, contracted, or | ||||||
18 | engaged in any insurance related capacity during the
time the
| ||||||
19 | revocation, suspension, or denial is in effect.
| ||||||
20 | (Source: P.A. 92-386, eff. 1-1-02; 93-32, eff. 7-1-03 .)
| ||||||
21 | (215 ILCS 5/500-110)
| ||||||
22 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
23 | Sec. 500-110. Regulatory examinations.
| ||||||
24 | (a) The Director may examine any applicant for or holder of | ||||||
25 | an insurance
producer
license, limited line producer license or
|
| |||||||
| |||||||
1 | temporary insurance producer license or any business
entity.
| ||||||
2 | (b) All persons being examined, as well
as their officers, | ||||||
3 | directors, insurance
producers, limited lines producers, and | ||||||
4 | temporary
insurance producers must provide to the
Director | ||||||
5 | convenient and free access, at all reasonable
hours at their | ||||||
6 | offices, to all books, records,
documents, and other papers | ||||||
7 | relating to the persons' insurance business
affairs. The | ||||||
8 | officers,
directors, insurance producers, limited
lines | ||||||
9 | producers, temporary insurance producers, and
employees must | ||||||
10 | facilitate and aid
the Director in the examinations as much as | ||||||
11 | it is in their power
to do so.
| ||||||
12 | (c) The Director may designate an examiner or examiners to | ||||||
13 | conduct any
examination under this Section. The Director or his | ||||||
14 | or her designee may
administer oaths and
examine under oath any | ||||||
15 | individual relative to the business of the person being
| ||||||
16 | examined.
| ||||||
17 | (d) The examiners designated by the Director under this | ||||||
18 | Section may make
reports to
the Director. A report alleging | ||||||
19 | substantive violations of this Article or any
rules prescribed | ||||||
20 | by
the Director must be in writing and be based upon facts
| ||||||
21 | ascertained from the books, records,
documents, papers, and | ||||||
22 | other evidence obtained by the
examiners or from sworn or | ||||||
23 | affirmed
testimony of or written affidavits from the person's
| ||||||
24 | officers, directors, insurance producers,
limited lines | ||||||
25 | producer, temporary insurance producers,
or employees or other | ||||||
26 | individuals, as
given to the examiners. The report of an |
| |||||||
| |||||||
1 | examination
must be verified by the examiners.
| ||||||
2 | (e) If a report is made, the Director must either
deliver a | ||||||
3 | duplicate of the report to the
person being examined or send | ||||||
4 | the duplicate by
certified or registered mail to the person's
| ||||||
5 | address of record. The Director shall afford
the person an | ||||||
6 | opportunity to demand a hearing with
reference to the facts and | ||||||
7 | other evidence contained
in the report. The person may request | ||||||
8 | a
hearing within 14 calendar days after he or she receives
the | ||||||
9 | duplicate of the examination report
by giving the Director | ||||||
10 | written notice of that request,
together with a written | ||||||
11 | statement of the
person's objections to the report. The | ||||||
12 | Director must,
if requested to do so, conduct a hearing in
| ||||||
13 | accordance with Sections 402 and 403 of this Code. The
Director | ||||||
14 | must issue a written order
based upon the examination report | ||||||
15 | and upon the hearing, if
a hearing is held, within 90 days | ||||||
16 | after
the report is filed, or within 90 days after the hearing | ||||||
17 | if
a hearing is held. If the report is refused
or otherwise | ||||||
18 | undeliverable, or a hearing is not requested in
a timely | ||||||
19 | fashion, the right to a hearing
is waived. After the hearing or | ||||||
20 | the expiration of the time
period in which a person may request | ||||||
21 | a
hearing, if the examination reveals that the person is | ||||||
22 | operating
in violation of any law, rule, or
prior order, the | ||||||
23 | Director in the written
order may require the person to take | ||||||
24 | any action the
Director considers necessary or appropriate
in | ||||||
25 | accordance with the report or examination hearing.
The order is | ||||||
26 | subject to review under the
Administrative Review Law.
|
| |||||||
| |||||||
1 | (f) The Director may adopt reasonable rules
to further the | ||||||
2 | purposes of this Section.
| ||||||
3 | (g) A person who violates or aids and abets
any violation | ||||||
4 | of a written order
issued
under this Section shall be guilty of | ||||||
5 | a business
offense and his or her license
may be revoked or
| ||||||
6 | suspended pursuant to Section 500-70 of this
Article and he or | ||||||
7 | she may be subjected to a civil penalty of
not more than
| ||||||
8 | $10,000 $20,000 .
| ||||||
9 | (Source: P.A. 92-386, eff. 1-1-02; 93-32, eff. 7-1-03 .)
| ||||||
10 | (215 ILCS 5/500-120)
| ||||||
11 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
12 | Sec. 500-120. Conflicts of interest; inactive status.
| ||||||
13 | (a) A person, partnership, association, or
corporation | ||||||
14 | licensed by the
Department
who, due to employment with any unit | ||||||
15 | of government
that would cause a conflict
of interest with
the | ||||||
16 | holding of that license, notifies the Director
in writing on | ||||||
17 | forms
prescribed by the Department
and, subject to rules of the | ||||||
18 | Department, makes payment
of applicable licensing
renewal | ||||||
19 | fees, may
elect to place the license on an inactive status.
| ||||||
20 | (b) A licensee whose license is on inactive status
may have | ||||||
21 | the license
restored by
making application to the Department on | ||||||
22 | such form as may
be prescribed by the
Department.
The | ||||||
23 | application must be accompanied with a fee of $50 $100 plus
the | ||||||
24 | current
applicable license fee.
| ||||||
25 | (c) A license may be placed on inactive status for a 2-year |
| |||||||
| |||||||
1 | period, and upon
request,
the inactive status may be extended | ||||||
2 | for a successive 2-year period not to
exceed a cumulative | ||||||
3 | 4-year inactive period. After a license has been on
inactive | ||||||
4 | status for 4 years or more, the licensee
must meet all of the | ||||||
5 | standards required of a new applicant before the license
may be | ||||||
6 | restored to
active status.
| ||||||
7 | (d) If requests for inactive
status are not renewed as set | ||||||
8 | forth in subsection
(c), the
license will be taken off the | ||||||
9 | inactive status and the license will lapse
immediately.
| ||||||
10 | (Source: P.A. 92-386, eff. 1-1-02; 93-32, eff. 7-1-03 .)
| ||||||
11 | (215 ILCS 5/500-135)
| ||||||
12 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
13 | Sec. 500-135. Fees.
| ||||||
14 | (a) The fees required by this Article are as follows:
| ||||||
15 | (1) a fee of $150 $180 for a person who is a resident | ||||||
16 | of Illinois, and $250
for a person who is not a resident of | ||||||
17 | Illinois , payable once every 2
years for an insurance
| ||||||
18 | producer
license;
| ||||||
19 | (2) a fee of $25 $50 for the issuance of a temporary | ||||||
20 | insurance
producer
license;
| ||||||
21 | (3) a fee of $50 $150 payable once every 2 years for a | ||||||
22 | business
entity;
| ||||||
23 | (4) an annual $25 $50 fee for a limited
line producer | ||||||
24 | license issued under items (1)
through (7) of subsection | ||||||
25 | (a) of Section 500-100;
|
| |||||||
| |||||||
1 | (5) a $25 $50 application fee for the processing of a | ||||||
2 | request to
take the
written
examination for an insurance | ||||||
3 | producer license;
| ||||||
4 | (6) an annual registration fee of $500 $1,000 for | ||||||
5 | registration of
an
education provider;
| ||||||
6 | (7) a certification fee of $25 $50 for each certified
| ||||||
7 | pre-licensing or
continuing
education course and an annual | ||||||
8 | fee of $20 for renewing the
certification of
each such
| ||||||
9 | course;
| ||||||
10 | (8) a fee of $50 $180 for a person who is a resident of | ||||||
11 | Illinois, and $250
for a person who is not a resident of | ||||||
12 | Illinois , payable once every 2
years for a car rental
| ||||||
13 | limited line
license;
| ||||||
14 | (9) a fee of $150 $200 payable once every 2 years for a | ||||||
15 | limited
lines license
other
than the licenses issued under | ||||||
16 | items (1) through (7) of subsection (a) of
Section
500-100, | ||||||
17 | a
car rental limited line license, or a self-service | ||||||
18 | storage facility limited
line license;
| ||||||
19 | (10) a fee of $50 payable once every 2 years for a | ||||||
20 | self-service storage
facility limited line license.
| ||||||
21 | (b) Except as otherwise provided, all
fees paid to and | ||||||
22 | collected by the Director under
this Section shall be paid | ||||||
23 | promptly after receipt thereof, together with a
detailed | ||||||
24 | statement of
such fees, into a special fund in the State | ||||||
25 | Treasury to be known as the
Insurance Producer
Administration | ||||||
26 | Fund. The moneys deposited into the Insurance Producer
|
| |||||||
| |||||||
1 | Administration Fund
may be used only for payment of the | ||||||
2 | expenses of the Department in the
execution,
administration, | ||||||
3 | and enforcement of the insurance laws of this State, and shall
| ||||||
4 | be appropriated as
otherwise provided by law for the payment of | ||||||
5 | those expenses with first priority
being any
expenses incident | ||||||
6 | to or associated with the administration and enforcement of
| ||||||
7 | this Article.
| ||||||
8 | (Source: P.A. 95-331, eff. 8-21-07 .)
| ||||||
9 | (215 ILCS 5/511.103) (from Ch. 73, par. 1065.58-103)
| ||||||
10 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
11 | Sec. 511.103. Application. The applicant for a license | ||||||
12 | shall file
with the Director an application upon a form | ||||||
13 | prescribed by the Director,
which shall include or have | ||||||
14 | attached the following:
| ||||||
15 | (1) The names, addresses and official positions of the | ||||||
16 | individuals who
are responsible for the conduct of the | ||||||
17 | affairs of the administrator, including
but not limited to | ||||||
18 | all members of the board of directors, board of trustees,
| ||||||
19 | executive committee, or other governing board or | ||||||
20 | committee, the principal
officers in the case of a | ||||||
21 | corporation or the partners in the case of a
partnership; | ||||||
22 | and
| ||||||
23 | (2) A non-refundable filing fee of $100 $200 which | ||||||
24 | shall become the
initial
administrator license fee should | ||||||
25 | the Director issue an administrator license.
|
| |||||||
| |||||||
1 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
2 | (215 ILCS 5/511.105) (from Ch. 73, par. 1065.58-105)
| ||||||
3 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
4 | Sec. 511.105. License.
| ||||||
5 | (a) The Director shall cause a license to be
issued to each | ||||||
6 | applicant that has demonstrated to the Director's satisfaction
| ||||||
7 | compliance with the requirements of this Article.
| ||||||
8 | (b) Each administrator license shall remain in effect as | ||||||
9 | long as the holder
of the license maintains in force and effect | ||||||
10 | the bond required by Section
511.104 and pays the annual fee of | ||||||
11 | $100 $200 prior to the anniversary
date of
the license, unless | ||||||
12 | the license is revoked or suspended pursuant to Section
| ||||||
13 | 511.107.
| ||||||
14 | (c) Each license shall contain the name, business address | ||||||
15 | and
identification number of the licensee, the date the license | ||||||
16 | was issued and
any other information the Director considers | ||||||
17 | proper.
| ||||||
18 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
19 | (215 ILCS 5/511.110) (from Ch. 73, par. 1065.58-110)
| ||||||
20 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
21 | Sec. 511.110. Administrative Fine.
| ||||||
22 | (a) If the Director finds that one
or more grounds exist | ||||||
23 | for the revocation or suspension of a license issued
under this | ||||||
24 | Article, the Director may, in lieu of or in addition to such
|
| |||||||
| |||||||
1 | suspension or revocation, impose a fine upon the administrator.
| ||||||
2 | (b) With respect to any knowing and wilful violation of a | ||||||
3 | lawful order
of the Director, any applicable portion of the | ||||||
4 | Illinois Insurance Code or
Part of Title 50 of the Illinois | ||||||
5 | Administrative Code, or a provision of
this Article, the | ||||||
6 | Director may impose a fine upon the administrator in an
amount | ||||||
7 | not to exceed $5,000 $10,000 for each such violation. In no
| ||||||
8 | event shall
such fine exceed an aggregate amount of $25,000 | ||||||
9 | $50,000 for all knowing
and wilful
violations arising out of | ||||||
10 | the same action.
| ||||||
11 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
12 | (215 ILCS 5/512.63) (from Ch. 73, par. 1065.59-63)
| ||||||
13 | (Section scheduled to be repealed on January 1, 2017)
| ||||||
14 | Sec. 512.63. Fees.
| ||||||
15 | (a) The fees required by this Article
are as follows:
| ||||||
16 | (1) Public Insurance Adjuster license annual fee, $30 | ||||||
17 | $100 ;
| ||||||
18 | (2) Registration of Firms, $20 $100 ;
| ||||||
19 | (3) Application Fee for processing each request to take | ||||||
20 | the written
examination
for a Public Adjuster license, $10 | ||||||
21 | $20 .
| ||||||
22 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
23 | (215 ILCS 5/513a3) (from Ch. 73, par. 1065.60a3)
| ||||||
24 | Sec. 513a3. License required.
|
| |||||||
| |||||||
1 | (a) No person may act as a premium finance company or hold | ||||||
2 | himself out
to be engaged in the business of financing | ||||||
3 | insurance premiums, either
directly or indirectly, without | ||||||
4 | first having obtained a license as a
premium finance company | ||||||
5 | from the Director.
| ||||||
6 | (b) An insurance producer shall be deemed to be engaged in | ||||||
7 | the
business of financing insurance premiums if 10% or more of | ||||||
8 | the producer's total
premium accounts receivable are more than | ||||||
9 | 90 days past due.
| ||||||
10 | (c) In addition to any other penalty set forth in this | ||||||
11 | Article, any
person violating subsection (a) of this Section | ||||||
12 | may, after hearing as set
forth in Article XXIV of this Code, | ||||||
13 | be required to pay a civil penalty of
not more than $1,000 | ||||||
14 | $2,000 for each offense.
| ||||||
15 | (d) In addition to any other penalty set forth in this | ||||||
16 | Article, any
person violating subsection (a) of this Section is | ||||||
17 | guilty of a Class A
misdemeanor. Any individual violating | ||||||
18 | subsection (a) of this Section, and
misappropriating or | ||||||
19 | converting any monies collected in conjunction with the
| ||||||
20 | violation, is guilty of a Class 4 felony.
| ||||||
21 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
22 | (215 ILCS 5/513a4) (from Ch. 73, par. 1065.60a4)
| ||||||
23 | Sec. 513a4. Application and license.
| ||||||
24 | (a) Each application for a premium finance license shall be | ||||||
25 | made on a
form specified by the Director and shall be signed by |
| |||||||
| |||||||
1 | the applicant
declaring under penalty of refusal, suspension, | ||||||
2 | or revocation of the
license that the statements made in the | ||||||
3 | application are true, correct, and
complete to the best of the | ||||||
4 | applicant's knowledge and belief. The Director
shall cause to | ||||||
5 | be issued a license to each applicant that has demonstrated
to | ||||||
6 | the Director that the applicant:
| ||||||
7 | (1) is competent and trustworthy and of a good business | ||||||
8 | reputation;
| ||||||
9 | (2) has a minimum net worth of $50,000; and
| ||||||
10 | (3) has paid the fees required by this Article.
| ||||||
11 | (b) Each applicant at the time of request for a license or | ||||||
12 | renewal of
a license shall:
| ||||||
13 | (1) certify that no charge for financing premiums shall | ||||||
14 | exceed the rates
permitted by this Article;
| ||||||
15 | (2) certify that the premium finance agreement or other | ||||||
16 | forms being used
are in compliance with the requirements of | ||||||
17 | this Article;
| ||||||
18 | (3) certify that he or she has a minimum net worth of | ||||||
19 | $50,000; and
| ||||||
20 | (4) attach with the application a non-refundable | ||||||
21 | annual fee of $200
$400 .
| ||||||
22 | (c) An applicant who has met the requirements of subsection | ||||||
23 | (a) and
subsection (b) shall be issued a premium finance | ||||||
24 | license.
| ||||||
25 | (d) Each premium finance license shall remain in effect as | ||||||
26 | long as the
holder of the license annually continues to meet |
| |||||||
| |||||||
1 | the requirements of
subsections (a) and (b) by the due date | ||||||
2 | unless the license is revoked or
suspended by the Director.
| ||||||
3 | (e) The individual holder of a premium finance license | ||||||
4 | shall inform the
Director in writing of a change in residence | ||||||
5 | address within 30 days of the
change, and a corporation, | ||||||
6 | partnership, or association holder of a premium
finance license | ||||||
7 | shall inform the Director in writing of a change in
business | ||||||
8 | address within 30 days of the change.
| ||||||
9 | (f) Every partnership or corporation holding a license as a | ||||||
10 | premium
finance company shall appoint one or more partners or | ||||||
11 | officers to be
responsible for the firm's compliance with the | ||||||
12 | Illinois Insurance Code and
applicable rules and regulations. | ||||||
13 | Any change in the appointed person or
persons shall be reported | ||||||
14 | to the Director in writing within 30 days of the
change.
| ||||||
15 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
16 | (215 ILCS 5/513a7) (from Ch. 73, par. 1065.60a7)
| ||||||
17 | Sec. 513a7. License suspension; revocation or denial.
| ||||||
18 | (a) Any license issued under this Article may be suspended, | ||||||
19 | revoked, or
denied if the Director finds that the licensee or | ||||||
20 | applicant:
| ||||||
21 | (1) has wilfully violated any provisions of this Code | ||||||
22 | or the rules and
regulations thereunder;
| ||||||
23 | (2) has intentionally made a material misstatement in | ||||||
24 | the
application for a license;
| ||||||
25 | (3) has obtained or attempted to obtain a license |
| |||||||
| |||||||
1 | through
misrepresentation or fraud;
| ||||||
2 | (4) has misappropriated or converted to his own use or | ||||||
3 | improperly
withheld monies;
| ||||||
4 | (5) has used fraudulent, coercive, or dishonest | ||||||
5 | practices or has
demonstrated incompetence, | ||||||
6 | untrustworthiness, or financial irresponsibility;
| ||||||
7 | (6) has been, within the past 3 years, convicted of a | ||||||
8 | felony, unless
the individual demonstrates to the Director | ||||||
9 | sufficient rehabilitation to
warrant public trust;
| ||||||
10 | (7) has failed to appear without reasonable cause or | ||||||
11 | excuse in
response to a subpoena issued by the Director;
| ||||||
12 | (8) has had a license suspended, revoked, or denied in | ||||||
13 | any other state
on grounds similar to those stated in this | ||||||
14 | Section; or
| ||||||
15 | (9) has failed to report a felony conviction as | ||||||
16 | required by Section 513a6.
| ||||||
17 | (b) Suspension, revocation, or denial of a license under | ||||||
18 | this Section
shall be by written order sent to the licensee or | ||||||
19 | applicant by certified or
registered mail at the address | ||||||
20 | specified in the records of the Department.
The licensee or | ||||||
21 | applicant may in writing request a hearing within 30 days
from | ||||||
22 | the date of mailing. If no written request is made the order | ||||||
23 | shall be
final upon the expiration of that 30 day period.
| ||||||
24 | (c) If the licensee or applicant requests a hearing under | ||||||
25 | this Section,
the Director shall issue a written notice of | ||||||
26 | hearing sent to the licensee
or applicant by certified or |
| |||||||
| |||||||
1 | registered mail at his address, as specified
in the records of | ||||||
2 | the Department, and stating:
| ||||||
3 | (1) the grounds, charges, or conduct that justifies | ||||||
4 | suspension,
revocation, or denial under this Section;
| ||||||
5 | (2) the specific time for the hearing, which may not be | ||||||
6 | fewer than 20
nor more than 30 days after the mailing of | ||||||
7 | the notice of hearing; and
| ||||||
8 | (3) a specific place for the hearing, which may be | ||||||
9 | either in the City
of Springfield or in the county where | ||||||
10 | the licensee's principal place of
business is located.
| ||||||
11 | (d) Upon the suspension or revocation of a license, the | ||||||
12 | licensee or
other person having possession or custody of the | ||||||
13 | license shall promptly
deliver it to the Director in person or | ||||||
14 | by mail. The Director shall
publish all suspensions and | ||||||
15 | revocations after they become final in a manner
designed to | ||||||
16 | notify interested insurance companies and other persons.
| ||||||
17 | (e) Any person whose license is revoked or denied under | ||||||
18 | this Section
shall be ineligible to apply for any license for 2 | ||||||
19 | years. A suspension
under this Section may be for a period of | ||||||
20 | up to 2 years.
| ||||||
21 | (f) In addition to or instead of a denial, suspension, or | ||||||
22 | revocation of
a license under this Section, the licensee may be | ||||||
23 | subjected to a civil
penalty of up to $1,000
$2,000 for each | ||||||
24 | cause for denial, suspension,
or
revocation. The penalty is | ||||||
25 | enforceable under subsection (5) of Section
403A of this Code.
| ||||||
26 | (Source: P.A. 93-32, eff. 7-1-03.)
|
| |||||||
| |||||||
1 | (215 ILCS 5/529.5) (from Ch. 73, par. 1065.76-5)
| ||||||
2 | Sec. 529.5. The Industry Placement Facility shall compile | ||||||
3 | an annual
operating report, and publish such report in at least | ||||||
4 | 2 newspapers having
widespread circulation in the State, which | ||||||
5 | report shall include:
| ||||||
6 | (1) a description of the origin and purpose of the Illinois | ||||||
7 | Fair Plan
and its relationship to the property and casualty | ||||||
8 | insurance industry in
Illinois;
| ||||||
9 | (2) a financial statement specifying the amount of profit | ||||||
10 | or loss incurred
by the Facility for its financial year; and
| ||||||
11 | (3) a disclosure as to the amount of subsidization per type | ||||||
12 | of policy
written by the Facility, which is provided by the | ||||||
13 | property and casualty
insurance companies operating in | ||||||
14 | Illinois, if any.
| ||||||
15 | This annual report shall be a matter of public record to be | ||||||
16 | made available
to any person requesting a copy from the | ||||||
17 | Facility at a fee not to exceed
$5
$10 per copy. A copy shall be | ||||||
18 | available for inspection at the
Department of Insurance.
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
20 | (215 ILCS 5/1020) (from Ch. 73, par. 1065.720)
| ||||||
21 | Sec. 1020. Penalties.
| ||||||
22 | (A) In any case where a hearing pursuant to Section
1016 | ||||||
23 | results in the finding of a knowing violation of this Article, | ||||||
24 | the
Director may, in addition to the issuance of a cease and |
| |||||||
| |||||||
1 | desist order as
prescribed in Section 1018, order payment of a | ||||||
2 | monetary penalty of not more
than $500
$1,000 for each | ||||||
3 | violation but not to exceed $10,000
$20,000 in the aggregate
| ||||||
4 | for multiple violations.
| ||||||
5 | (B) Any person who violates a cease and desist order of the | ||||||
6 | Director under
Section 1018 of this Article may, after notice | ||||||
7 | and hearing and upon order
of the Director, be subject to one | ||||||
8 | or more of the following penalties, at
the discretion of the | ||||||
9 | Director:
| ||||||
10 | (1) a monetary fine of not more than $10,000
$20,000 | ||||||
11 | for each
violation,
| ||||||
12 | (2) a monetary fine of not more than $50,000
$100,000 | ||||||
13 | if the
Director finds that
violations have occurred with | ||||||
14 | such frequency as to constitute a general
business | ||||||
15 | practice, or
| ||||||
16 | (3) suspension or revocation of an insurance | ||||||
17 | institution's or agent's
license.
| ||||||
18 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
19 | (215 ILCS 5/1108) (from Ch. 73, par. 1065.808)
| ||||||
20 | Sec. 1108. Trust; filing requirements; records.
| ||||||
21 | (1) Any risk
retention trust
created under this Article | ||||||
22 | shall file with the Director:
| ||||||
23 | (a) A statement of intent to provide named coverages.
| ||||||
24 | (b) The trust agreement between the trust sponsor and | ||||||
25 | the trustees,
detailing the organization and |
| |||||||
| |||||||
1 | administration of the trust and fiduciary
| ||||||
2 | responsibilities.
| ||||||
3 | (c) Signed risk pooling agreements from each trust | ||||||
4 | member describing
their intent to participate in the trust | ||||||
5 | and maintain the contingency reserve
fund.
| ||||||
6 | (d) By April 1 of each year a financial statement for | ||||||
7 | the preceding
calendar year ending December 31, and a list | ||||||
8 | of all beneficiaries during
the year. The financial | ||||||
9 | statement and report shall be in such form as the
Director | ||||||
10 | of Insurance may prescribe. The truth and accuracy of the | ||||||
11 | financial
statement shall be attested to by each trustee. | ||||||
12 | Each Risk Retention Trust
shall file with the Director by | ||||||
13 | June 1 an opinion of an independent certified
public | ||||||
14 | accountant on the financial condition of the Risk Retention | ||||||
15 | Trust
for the most recent calendar year and the results of | ||||||
16 | its operations, changes
in financial position and changes | ||||||
17 | in capital and surplus for the year then
ended in | ||||||
18 | conformity with accounting practices permitted or | ||||||
19 | prescribed by
the Illinois Department of Insurance.
| ||||||
20 | (e) The name of a bank or trust company with whom the | ||||||
21 | trust will
enter into an escrow agreement which shall state | ||||||
22 | that the contingency
reserve fund will be maintained at the | ||||||
23 | levels prescribed in this Article.
| ||||||
24 | (f) Copies of coverage grants it will issue.
| ||||||
25 | (2) The Director of Insurance shall charge, collect and | ||||||
26 | give proper
acquittances for the payment of the following fees |
| |||||||
| |||||||
1 | and charges:
| ||||||
2 | (a) For filing trust instruments, amendments thereto | ||||||
3 | and financial
statement
and report of the trustees, $25
| ||||||
4 | $50 .
| ||||||
5 | (b) For copies of papers or records per page, $1
$2 .
| ||||||
6 | (c) For certificate to copy of paper, $5
$10 .
| ||||||
7 | (d) For filing an application for the licensing of a | ||||||
8 | risk retention trust,
$500
$1,000 .
| ||||||
9 | (3) The trust shall keep its books and records in | ||||||
10 | accordance with the
provisions of Section 133 of this Code. The | ||||||
11 | Director may examine such
books and records from time to time | ||||||
12 | as provided in Sections 132
through 132.7 of this Code
and may | ||||||
13 | charge the expense of such examination to the trust as provided | ||||||
14 | in
subsection (3) of Section 408 of this Code.
| ||||||
15 | (4) Trust funds established under this Section and all | ||||||
16 | persons
interest therein or dealing therewith shall be subject | ||||||
17 | to the provisions of
Sections 133, 144.1, 149, 401, 401.1, 402, | ||||||
18 | 403, 403A, 412, and all of the
provisions of Articles VII, | ||||||
19 | VIII, XII 1/2 and XIII of the Code, as amended.
Except as | ||||||
20 | otherwise provided in this Section, trust funds established
| ||||||
21 | under and which fully comply with this Section, shall not be | ||||||
22 | subjected to
any other provision of the Code.
| ||||||
23 | (5) The Director of Insurance may make reasonable rules and | ||||||
24 | regulations
pertaining to the standards of coverage and | ||||||
25 | administration of the trust
authorized by this Section. Such | ||||||
26 | rules may include but need not be limited
to reasonable |
| |||||||
| |||||||
1 | standards
for fiduciary duties of the trustees, standards for | ||||||
2 | the investment of
funds, limitation of risks assumed, minimum | ||||||
3 | size, capital, surplus,
reserves, and contingency reserves.
| ||||||
4 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
5 | (215 ILCS 5/1204) (from Ch. 73, par. 1065.904)
| ||||||
6 | Sec. 1204. (A) The Secretary shall promulgate rules and | ||||||
7 | regulations
which shall require each insurer licensed to write | ||||||
8 | property or casualty
insurance in the State and each syndicate | ||||||
9 | doing business on the Illinois
Insurance Exchange to record and | ||||||
10 | report its loss and expense experience
and other data as may be | ||||||
11 | necessary to assess the relationship of
insurance premiums and | ||||||
12 | related income as compared to insurance costs and
expenses. The | ||||||
13 | Secretary may designate one or more rate service
organizations | ||||||
14 | or advisory organizations to gather and compile such
experience | ||||||
15 | and data. The Secretary shall require each insurer licensed to
| ||||||
16 | write property or casualty insurance in this State and each | ||||||
17 | syndicate doing
business on the Illinois Insurance Exchange to | ||||||
18 | submit a report, on
a form furnished by the Secretary, showing | ||||||
19 | its direct writings in this
State and companywide.
| ||||||
20 | (B) Such report required by subsection (A) of this Section | ||||||
21 | may include,
but not be limited to, the following specific | ||||||
22 | types of insurance written by
such insurer:
| ||||||
23 | (1) Political subdivision liability insurance reported | ||||||
24 | separately in the
following categories:
| ||||||
25 | (a) municipalities;
|
| |||||||
| |||||||
1 | (b) school districts;
| ||||||
2 | (c) other political subdivisions;
| ||||||
3 | (2) Public official liability insurance;
| ||||||
4 | (3) Dram shop liability insurance;
| ||||||
5 | (4) Day care center liability insurance;
| ||||||
6 | (5) Labor, fraternal or religious organizations | ||||||
7 | liability insurance;
| ||||||
8 | (6) Errors and omissions liability insurance;
| ||||||
9 | (7) Officers and directors liability insurance | ||||||
10 | reported separately as
follows:
| ||||||
11 | (a) non-profit entities;
| ||||||
12 | (b) for-profit entities;
| ||||||
13 | (8) Products liability insurance;
| ||||||
14 | (9) Medical malpractice insurance;
| ||||||
15 | (10) Attorney malpractice insurance;
| ||||||
16 | (11) Architects and engineers malpractice insurance; | ||||||
17 | and
| ||||||
18 | (12) Motor vehicle insurance reported separately for | ||||||
19 | commercial and
private passenger vehicles as follows:
| ||||||
20 | (a) motor vehicle physical damage insurance;
| ||||||
21 | (b) motor vehicle liability insurance.
| ||||||
22 | (C) Such report may include, but need not be limited to the | ||||||
23 | following data,
both
specific to this State and companywide, in | ||||||
24 | the aggregate or by type of
insurance for the previous year on | ||||||
25 | a calendar year basis:
| ||||||
26 | (1) Direct premiums written;
|
| |||||||
| |||||||
1 | (2) Direct premiums earned;
| ||||||
2 | (3) Number of policies;
| ||||||
3 | (4) Net investment income, using appropriate estimates | ||||||
4 | where necessary;
| ||||||
5 | (5) Losses paid;
| ||||||
6 | (6) Losses incurred;
| ||||||
7 | (7) Loss reserves:
| ||||||
8 | (a) Losses unpaid on reported claims;
| ||||||
9 | (b) Losses unpaid on incurred but not reported | ||||||
10 | claims;
| ||||||
11 | (8) Number of claims:
| ||||||
12 | (a) Paid claims;
| ||||||
13 | (b) Arising claims;
| ||||||
14 | (9) Loss adjustment expenses:
| ||||||
15 | (a) Allocated loss adjustment expenses;
| ||||||
16 | (b) Unallocated loss adjustment expenses;
| ||||||
17 | (10) Net underwriting gain or loss;
| ||||||
18 | (11) Net operation gain or loss, including net | ||||||
19 | investment income;
| ||||||
20 | (12) Any other information requested by the Secretary.
| ||||||
21 | (C-3) Additional information by an advisory organization | ||||||
22 | as defined in Section 463 of this Code. | ||||||
23 | (1) An advisory organization as defined in Section 463 | ||||||
24 | of this Code shall report annually the following | ||||||
25 | information in such format as may be prescribed by the | ||||||
26 | Secretary: |
| |||||||
| |||||||
1 | (a) paid and incurred losses for each of the past | ||||||
2 | 10 years; | ||||||
3 | (b) medical payments and medical charges, if | ||||||
4 | collected, for each of the past 10 years; | ||||||
5 | (c) the following indemnity payment information:
| ||||||
6 | cumulative payments by accident year by calendar year | ||||||
7 | of
development. This array will show payments made and | ||||||
8 | frequency of claims in the following categories: | ||||||
9 | medical only, permanent partial disability (PPD), | ||||||
10 | permanent total
disability (PTD), temporary total | ||||||
11 | disability (TTD), and fatalities; | ||||||
12 | (d) injuries by frequency and severity; | ||||||
13 | (e) by class of employee. | ||||||
14 | (2) The report filed with the Secretary of Financial | ||||||
15 | and Professional Regulation under paragraph (1) of this
| ||||||
16 | subsection (C-3) shall be made available, on an aggregate | ||||||
17 | basis, to the General
Assembly and to the general public. | ||||||
18 | The identity of the petitioner, the respondent, the | ||||||
19 | attorneys, and the insurers shall not be disclosed.
| ||||||
20 | (3) Reports required under this
subsection (C-3)
shall | ||||||
21 | be filed with the Secretary no later than September 1 in | ||||||
22 | 2006 and no later than September 1 of each year thereafter.
| ||||||
23 | (C-5) Additional information required from medical | ||||||
24 | malpractice insurers. | ||||||
25 | (1) In addition to the other requirements of this | ||||||
26 | Section, the following information shall be included in the |
| |||||||
| |||||||
1 | report required by subsection (A) of this Section in such | ||||||
2 | form and under such terms and conditions as may be | ||||||
3 | prescribed by the Secretary: | ||||||
4 | (a) paid and incurred losses by county for each of | ||||||
5 | the past 10 policy years; | ||||||
6 | (b) earned exposures by ISO code, policy type, and | ||||||
7 | policy year by county for each of the past 10 years; | ||||||
8 | and | ||||||
9 | (c) the following actuarial information: | ||||||
10 | (i) Base class and territory equivalent | ||||||
11 | exposures by report year by relative accident | ||||||
12 | year. | ||||||
13 | (ii) Cumulative loss array by accident year by | ||||||
14 | calendar year of development. This array will show | ||||||
15 | frequency of claims in the following categories: | ||||||
16 | open, closed with indemnity (CWI), closed with | ||||||
17 | expense (CWE), and closed no pay (CNP); paid | ||||||
18 | severity in the following categories: indemnity | ||||||
19 | and allocated loss adjustment expenses (ALAE) on | ||||||
20 | closed claims;
and indemnity and expense reserves | ||||||
21 | on pending claims. | ||||||
22 | (iii) Cumulative loss array by report year by | ||||||
23 | calendar year of development. This array will show | ||||||
24 | frequency of claims in the following categories: | ||||||
25 | open, closed with indemnity (CWI), closed with | ||||||
26 | expense (CWE), and closed no pay (CNP); paid |
| |||||||
| |||||||
1 | severity in the following categories: indemnity | ||||||
2 | and allocated loss adjustment expenses (ALAE) on | ||||||
3 | closed claims; and indemnity and expense reserves | ||||||
4 | on pending claims. | ||||||
5 | (iv) Maturity year and tail factors. | ||||||
6 | (v) Any expense, contingency ddr (death, | ||||||
7 | disability, and retirement), commission, tax, | ||||||
8 | and/or off-balance factors. | ||||||
9 | (2) The following information must also be annually | ||||||
10 | provided to the Department:
| ||||||
11 | (a) copies of the company's reserve and surplus | ||||||
12 | studies; and | ||||||
13 | (b) consulting actuarial report and data | ||||||
14 | supporting the company's rate
filing. | ||||||
15 | (3) All information collected by the Secretary under | ||||||
16 | paragraphs (1) and (2) shall be made available, on a | ||||||
17 | company-by-company basis, to the General Assembly and the | ||||||
18 | general public. This provision shall supersede any other | ||||||
19 | provision of State law that may otherwise protect such | ||||||
20 | information from public disclosure as confidential.
| ||||||
21 | (D) In addition to the information which may be requested | ||||||
22 | under
subsection (C), the Secretary may also request on a | ||||||
23 | companywide, aggregate
basis, Federal Income Tax recoverable, | ||||||
24 | net realized capital gain or loss,
net unrealized capital gain | ||||||
25 | or loss, and all other expenses not requested
in subsection (C) | ||||||
26 | above.
|
| |||||||
| |||||||
1 | (E) Violations - Suspensions - Revocations.
| ||||||
2 | (1) Any company or person
subject to this Article, who | ||||||
3 | willfully or repeatedly fails to observe or who
otherwise | ||||||
4 | violates any of the provisions of this Article or any rule | ||||||
5 | or
regulation promulgated by the Secretary under authority | ||||||
6 | of this Article or any
final order of the Secretary entered | ||||||
7 | under the authority of this Article shall
by civil penalty | ||||||
8 | forfeit to the State of Illinois a sum not to exceed
$1,000 | ||||||
9 | $2,000 . Each day during which a violation occurs | ||||||
10 | constitutes a
separate
offense.
| ||||||
11 | (2) No forfeiture liability under paragraph (1) of this | ||||||
12 | subsection may
attach unless a written notice of apparent | ||||||
13 | liability has been issued by the
Secretary and received by | ||||||
14 | the respondent, or the Secretary sends written
notice of | ||||||
15 | apparent liability by registered or certified mail, return
| ||||||
16 | receipt requested, to the last known address of the | ||||||
17 | respondent. Any
respondent so notified must be granted an | ||||||
18 | opportunity to request a hearing
within 10 days from | ||||||
19 | receipt of notice, or to show in writing, why he should
not | ||||||
20 | be held liable. A notice issued under this Section must set | ||||||
21 | forth the
date, facts and nature of the act or omission | ||||||
22 | with which the respondent is
charged and must specifically | ||||||
23 | identify the particular provision of this
Article, rule, | ||||||
24 | regulation or order of which a violation is charged.
| ||||||
25 | (3) No forfeiture liability under paragraph (1) of this | ||||||
26 | subsection may
attach for any violation occurring more than |
| |||||||
| |||||||
1 | 2 years prior to the date of
issuance of the notice of | ||||||
2 | apparent liability and in no event may the total
civil | ||||||
3 | penalty forfeiture imposed for the acts or omissions set | ||||||
4 | forth in any
one notice of apparent liability exceed | ||||||
5 | $50,000 $100,000 .
| ||||||
6 | (4) All administrative hearings conducted pursuant to | ||||||
7 | this Article are
subject to 50 Ill. Adm. Code 2402 and all | ||||||
8 | administrative hearings are
subject to the Administrative | ||||||
9 | Review Law.
| ||||||
10 | (5) The civil penalty forfeitures provided for in this | ||||||
11 | Section are
payable to the General Revenue Fund of the | ||||||
12 | State of Illinois, and may be
recovered in a civil suit in | ||||||
13 | the name of the State of Illinois brought in
the Circuit | ||||||
14 | Court in Sangamon County or in the Circuit Court of the | ||||||
15 | county
where the respondent is domiciled or has its | ||||||
16 | principal operating office.
| ||||||
17 | (6) In any case where the Secretary issues a notice of | ||||||
18 | apparent liability
looking toward the imposition of a civil | ||||||
19 | penalty forfeiture under this
Section that fact may not be | ||||||
20 | used in any other proceeding before the
Secretary to the | ||||||
21 | prejudice of the respondent to whom the notice was issued,
| ||||||
22 | unless (a) the civil penalty forfeiture has been paid, or | ||||||
23 | (b) a court has
ordered payment of the civil penalty | ||||||
24 | forfeiture and that order has become
final.
| ||||||
25 | (7) When any person or company has a license or | ||||||
26 | certificate of authority
under this Code and knowingly |
| |||||||
| |||||||
1 | fails or refuses to comply with a lawful
order of the | ||||||
2 | Secretary requiring compliance with this Article, entered | ||||||
3 | after
notice and hearing, within the period of time | ||||||
4 | specified in the order, the
Secretary may, in addition to | ||||||
5 | any other penalty or authority
provided, revoke or refuse | ||||||
6 | to renew the license or certificate of authority
of such | ||||||
7 | person
or company, or may suspend the license or | ||||||
8 | certificate of authority
of such
person or company until | ||||||
9 | compliance with such order has been obtained.
| ||||||
10 | (8) When any person or company has a license or | ||||||
11 | certificate of authority
under this Code and knowingly | ||||||
12 | fails or refuses to comply with any
provisions of this | ||||||
13 | Article, the Secretary may, after notice and hearing, in
| ||||||
14 | addition to any other penalty provided, revoke or refuse to | ||||||
15 | renew the
license or certificate of authority of such | ||||||
16 | person or company, or may
suspend the license or | ||||||
17 | certificate of authority of such person or company,
until | ||||||
18 | compliance with such provision of this Article has been | ||||||
19 | obtained.
| ||||||
20 | (9) No suspension or revocation under this Section may | ||||||
21 | become effective
until 5 days from the date that the notice | ||||||
22 | of suspension or revocation has
been personally delivered | ||||||
23 | or delivered by registered or certified mail to
the company | ||||||
24 | or person. A suspension or revocation under this Section is
| ||||||
25 | stayed upon the filing, by the company or person, of a | ||||||
26 | petition for
judicial review under the Administrative |
| |||||||
| |||||||
1 | Review Law.
| ||||||
2 | (Source: P.A. 94-277, eff. 7-20-05; 94-677, eff. 8-25-05; | ||||||
3 | 95-331, eff. 8-21-07.)
| ||||||
4 | Section 85. The Reinsurance Intermediary Act is amended by | ||||||
5 | changing Section 55 as follows:
| ||||||
6 | (215 ILCS 100/55) (from Ch. 73, par. 1655)
| ||||||
7 | Sec. 55. Penalties and liabilities.
| ||||||
8 | (a) If the Director determines that a reinsurance | ||||||
9 | intermediary has not
materially complied with this Act or any | ||||||
10 | regulation or
Order promulgated hereunder, after notice and | ||||||
11 | opportunity to be heard, the
Director may order a penalty in an | ||||||
12 | amount not exceeding $50,000
$100,000 for each
separate | ||||||
13 | violation and may order the revocation or suspension of the
| ||||||
14 | reinsurance intermediary's license. If it is found that because | ||||||
15 | of the
material noncompliance the insurer or reinsurer has | ||||||
16 | suffered any loss or
damage, the Director may maintain a civil | ||||||
17 | action brought by or on behalf of the
reinsurer or insurer and | ||||||
18 | its policyholders and creditors for recovery of
compensatory | ||||||
19 | damages for the benefit of the reinsurer or insurer and its
| ||||||
20 | policyholders and creditors or seek other appropriate relief.
| ||||||
21 | This subsection (a) shall not be construed to prevent any other | ||||||
22 | person from
taking civil action against a reinsurance | ||||||
23 | intermediary.
| ||||||
24 | (b) If an Order of Rehabilitation or Liquidation of the
|
| |||||||
| |||||||
1 | insurer is entered
under Article XIII of the Illinois Insurance | ||||||
2 | Code and the receiver appointed
under that Order determines | ||||||
3 | that the reinsurance intermediary or any other
person has not | ||||||
4 | materially complied with this Act or any regulation or Order
| ||||||
5 | promulgated hereunder and the insurer has suffered any loss or | ||||||
6 | damage
therefrom,
the receiver may maintain a civil action for | ||||||
7 | recovery of damages or other
appropriate sanctions for the | ||||||
8 | benefit of the insurer.
| ||||||
9 | (c) The decision, determination, or order of the Director | ||||||
10 | under
subsection (a) of this Section shall be subject to | ||||||
11 | judicial review under
the Administrative Review Law.
| ||||||
12 | (d) Nothing contained in this Act shall affect the right of | ||||||
13 | the
Director
to impose any other penalties provided in the | ||||||
14 | Illinois Insurance Code.
| ||||||
15 | (e) Nothing contained in this Act is intended to or shall | ||||||
16 | in any
manner
limit or restrict the rights of policyholders, | ||||||
17 | claimants, creditors, or
other third parties or confer any | ||||||
18 | rights to those persons.
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
20 | Section 90. The Employee Leasing Company Act is amended by | ||||||
21 | changing Section 20 as follows:
| ||||||
22 | (215 ILCS 113/20)
| ||||||
23 | Sec. 20. Registration.
| ||||||
24 | (a) A lessor shall register with the Department prior to |
| |||||||
| |||||||
1 | becoming a
qualified self-insured for workers' compensation or | ||||||
2 | becoming eligible to be
issued a workers' compensation and | ||||||
3 | employers' liability insurance policy. The
registration shall:
| ||||||
4 | (1) identify the name of the lessor;
| ||||||
5 | (2) identify the address of the principal place of | ||||||
6 | business of the lessor;
| ||||||
7 | (3) include the lessor's taxpayer or employer | ||||||
8 | identification number;
| ||||||
9 | (4) include a list by jurisdiction of each and every | ||||||
10 | name that the lessor
has operated under in the preceding 5 | ||||||
11 | years including any alternative
names and names of | ||||||
12 | predecessors;
| ||||||
13 | (5) include a list of the officers and directors of
the | ||||||
14 | lessor and its
predecessors, successors, or alter egos in | ||||||
15 | the preceding 5 years; and
| ||||||
16 | (6) include a $500
$1,000 fee for the registration and | ||||||
17 | each annual
renewal
thereafter.
| ||||||
18 | Amounts received as registration fees shall be deposited | ||||||
19 | into the Insurance
Producer
Administration Fund.
| ||||||
20 | (b) (Blank).
| ||||||
21 | (c) Lessors registering
pursuant to
this Section shall | ||||||
22 | notify the Department within 30 days as to any changes
in any | ||||||
23 | information
provided pursuant to this Section.
| ||||||
24 | (d) The Department shall maintain a list of those lessors | ||||||
25 | who are registered
with the Department.
| ||||||
26 | (e) The Department may prescribe any forms that are
|
| |||||||
| |||||||
1 | necessary to promote the efficient administration of this | ||||||
2 | Section.
| ||||||
3 | (f) Any lessor that was doing
business in this
State prior | ||||||
4 | to enactment of this Act shall register with the Department
| ||||||
5 | within
60 days of the effective date of this Act.
| ||||||
6 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
7 | Section 95. The Health Care Purchasing Group Act is amended | ||||||
8 | by changing Section 20 as follows:
| ||||||
9 | (215 ILCS 123/20)
| ||||||
10 | Sec. 20. HPG sponsors. Except as provided by Sections 15 | ||||||
11 | and 25 of this Act,
only a corporation authorized by the | ||||||
12 | Secretary of State to transact business in
Illinois may sponsor | ||||||
13 | one or more HPGs with no more than 100,000
covered
individuals | ||||||
14 | by negotiating, soliciting, or
servicing health insurance | ||||||
15 | contracts for HPGs and their members.
Such a corporation may | ||||||
16 | assert and maintain authority to act as an
HPG sponsor by | ||||||
17 | complying with all of the following requirements:
| ||||||
18 | (1) The principal officers and directors responsible | ||||||
19 | for
the conduct of the HPG sponsor must perform their HPG | ||||||
20 | sponsor
related functions in Illinois.
| ||||||
21 | (2) No insurance risk may be borne or retained by the
| ||||||
22 | HPG sponsor; all health insurance contracts issued to HPGs
| ||||||
23 | through the HPG sponsor must be delivered in Illinois.
| ||||||
24 | (3) No HPG sponsor may collect premium in its name or |
| |||||||
| |||||||
1 | hold or
manage premium or claim fund accounts unless duly | ||||||
2 | qualified
and licensed as a managing general agent pursuant | ||||||
3 | to Section
141a of the Illinois Insurance Code or as
a | ||||||
4 | third party administrator pursuant to Section 511.105 of
| ||||||
5 | the Illinois Insurance Code.
| ||||||
6 | (4) If the HPG gives an offer, application, notice, or | ||||||
7 | proposal
of insurance to an employer, it must disclose the | ||||||
8 | total cost of the insurance.
Dues, fees, or charges to be | ||||||
9 | paid to the HPG, HPG sponsor, or any other entity
as a | ||||||
10 | condition to purchasing the insurance must be itemized. The | ||||||
11 | HPG shall
also disclose to
its members the amount of any | ||||||
12 | dividends, experience refunds, or other such
payments it | ||||||
13 | receives from the risk-bearer.
| ||||||
14 | (5) An HPG sponsor must register with the Director | ||||||
15 | before
negotiating or soliciting any group or master health | ||||||
16 | insurance
contract for any HPG and must renew the | ||||||
17 | registration
annually on forms and at times prescribed by
| ||||||
18 | the Director in rules specifying, at minimum, (i) the | ||||||
19 | identity
of the officers and directors of the HPG sponsor | ||||||
20 | corporation; (ii) a
certification that those persons have | ||||||
21 | not been convicted of
any felony offense involving a breach | ||||||
22 | of fiduciary duty or
improper manipulation of accounts; | ||||||
23 | (iii) the number of employer
members then enrolled in each | ||||||
24 | HPG sponsored; (iv) the date on
which each HPG was issued a | ||||||
25 | group or master health insurance
contract, if any; and (v) | ||||||
26 | the date on
which each such contract, if any, was |
| |||||||
| |||||||
1 | terminated.
| ||||||
2 | (6) At the time of initial registration and each | ||||||
3 | renewal
thereof an HPG sponsor shall pay a fee of $100
$200 | ||||||
4 | to the Director.
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
6 | Section 100. The Service Contract Act is amended by | ||||||
7 | changing Section 25 as follows:
| ||||||
8 | (215 ILCS 152/25)
| ||||||
9 | Sec. 25. Registration requirements for service
contract | ||||||
10 | providers.
| ||||||
11 | (a) No service contract shall be issued or sold in this | ||||||
12 | State until the
following information has
been submitted to the | ||||||
13 | Department:
| ||||||
14 | (1) the name of the service contract provider;
| ||||||
15 | (2) a list identifying the service contract provider's | ||||||
16 | executive officer
or
officers directly
responsible for the | ||||||
17 | service contract provider's service contract business;
| ||||||
18 | (3) the name and address of the service contract | ||||||
19 | provider's agent for
service
of process in
this State, if | ||||||
20 | other than the service contract provider;
| ||||||
21 | (4) a true and accurate copy of all service contracts | ||||||
22 | to be sold in this
State; and
| ||||||
23 | (5) a statement indicating under which provision of | ||||||
24 | Section 15 the service
contract
provider qualifies to do |
| |||||||
| |||||||
1 | business in this State as a service contract provider.
| ||||||
2 | (b) The service contract provider shall pay an initial | ||||||
3 | registration fee of
$500
$1,000 and a renewal
fee of $75
$150 | ||||||
4 | each year thereafter. All fees and penalties collected
under | ||||||
5 | this
Act shall be paid
to the Director and deposited in the | ||||||
6 | Insurance Financial Regulation Fund.
| ||||||
7 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
8 | Section 105. The Title Insurance Act is amended by changing | ||||||
9 | Section 14 as follows:
| ||||||
10 | (215 ILCS 155/14) (from Ch. 73, par. 1414)
| ||||||
11 | Sec. 14. Fees.
| ||||||
12 | (a)
Every title insurance company and
every independent
| ||||||
13 | escrowee subject to this Act shall pay the following fees:
| ||||||
14 | (1) for filing the original application for a | ||||||
15 | certificate of authority
and receiving the deposit | ||||||
16 | required under this Act, $500;
| ||||||
17 | (2) for the certificate of authority, $10;
| ||||||
18 | (3) for every copy of a paper filed in the Department | ||||||
19 | under this Act,
$1 per folio;
| ||||||
20 | (4) for affixing the seal of the Department and | ||||||
21 | certifying a copy, $2; and
| ||||||
22 | (5) for filing the annual statement, $50.
| ||||||
23 | (b)
Each title insurance company shall pay, for all of its | ||||||
24 | title
insurance agents subject to this Act for filing an annual |
| |||||||
| |||||||
1 | registration of
its agents, an amount equal to $1
$3 for each | ||||||
2 | policy issued by
all
of its
agents
in the immediately preceding | ||||||
3 | calendar year , provided such sum shall not exceed $20,000 per | ||||||
4 | annum .
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03; 94-893, eff. 6-20-06.)
| ||||||
6 | Section 110. The Viatical Settlements Act is amended by | ||||||
7 | changing Section 10 as follows:
| ||||||
8 | (215 ILCS 158/10)
| ||||||
9 | Sec. 10. License requirements.
| ||||||
10 | (a) No individual, partnership, corporation, or other | ||||||
11 | entity may act as a
viatical settlement provider
without first | ||||||
12 | having obtained a license from the Director.
| ||||||
13 | (b) Application for a viatical settlement provider license | ||||||
14 | shall be made to
the Director by the applicant on a form | ||||||
15 | prescribed by the Director. The
application shall be | ||||||
16 | accompanied by a fee of $1,500
$3,000 , which shall
be deposited
| ||||||
17 | into the Insurance Producer Administration Fund.
| ||||||
18 | (c) Viatical settlement providers' licenses may be renewed | ||||||
19 | from year to year
on the anniversary date upon
(1) submission | ||||||
20 | of renewal forms prescribed by the Director and (2) payment of
| ||||||
21 | the annual renewal fee of $750
$1,500 , which shall be deposited | ||||||
22 | into
the Insurance
Producer Administration Fund.
Failure to pay
| ||||||
23 | the fee within
the terms prescribed by the Director shall | ||||||
24 | result in the expiration of the
license.
|
| |||||||
| |||||||
1 | (d) Applicants for a viatical settlement provider's | ||||||
2 | license shall provide
such information as the Director may | ||||||
3 | require.
The Director shall have authority, at any
time, to | ||||||
4 | require the applicant to fully disclose the identity of all
| ||||||
5 | stockholders, partners, officers, and employees. The Director | ||||||
6 | may, in the
exercise of discretion, refuse to issue a license | ||||||
7 | in the name of any firm,
partnership, or corporation if not | ||||||
8 | satisfied that an officer, employee,
stockholder, or partner
| ||||||
9 | thereof who may materially influence the applicant's conduct | ||||||
10 | meets the
standards of this Act.
| ||||||
11 | (e) A viatical settlement provider's license issued to a | ||||||
12 | partnership,
corporation, or other entity
authorizes all | ||||||
13 | members, officers, and designated employees to act as viatical
| ||||||
14 | settlement providers under the license. All those persons must | ||||||
15 | be named in
the application and any supplements thereto.
| ||||||
16 | (f) Upon the filing of an application for a viatical | ||||||
17 | settlement provider's
license and the payment of the license | ||||||
18 | fee,
the Director shall make an investigation of the applicant | ||||||
19 | and may issue a
license if the Director finds that the | ||||||
20 | applicant:
| ||||||
21 | (1) has provided a detailed plan of operation;
| ||||||
22 | (2) is competent and trustworthy and intends to act in | ||||||
23 | good faith in the
capacity authorized by the license | ||||||
24 | applied for;
| ||||||
25 | (3) has a good business reputation and has had | ||||||
26 | experience, training, or
education so as to be qualified in |
| |||||||
| |||||||
1 | the business for which the license is
applied for; and
| ||||||
2 | (4) if a corporation, is a corporation incorporated | ||||||
3 | under the laws of this
State or a foreign corporation | ||||||
4 | authorized to transact business in this State.
| ||||||
5 | (g) The Director may not issue a license to a nonresident | ||||||
6 | applicant,
unless a written designation of an agent for service | ||||||
7 | of process is filed and
maintained with the Director or the | ||||||
8 | applicant has filed with the Director the
applicant's written | ||||||
9 | irrevocable consent that any action against the applicant
may | ||||||
10 | be commenced against the applicant by service of process on the | ||||||
11 | Director.
| ||||||
12 | (h) A viatical settlement provider must assume | ||||||
13 | responsibility for all
actions
of its appointed viatical | ||||||
14 | settlement agents associated with a viatical
settlement.
| ||||||
15 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
16 | Section 115. The Public Utilities Act is amended by | ||||||
17 | changing Section 6-108 as follows:
| ||||||
18 | (220 ILCS 5/6-108) (from Ch. 111 2/3, par. 6-108)
| ||||||
19 | Sec. 6-108. The Commission shall charge every public | ||||||
20 | utility receiving
permission under this Act for the issue of | ||||||
21 | stocks, bonds, notes and other
evidences of indebtedness an | ||||||
22 | amount equal to 10
12 cents for every $100
of the
par or stated | ||||||
23 | value of stocks, and 20
24 cents for every $100 of the
| ||||||
24 | principal
amount of bonds, notes or other evidences of |
| |||||||
| |||||||
1 | indebtedness, authorized by
the Commission, which shall be paid | ||||||
2 | to the Commission no later than 30
days after service of the | ||||||
3 | Commission order authorizing the issuance of
those stocks, | ||||||
4 | bonds, notes or other evidences of indebtedness. Provided, that
| ||||||
5 | if any such stock, bonds, notes or other evidences of | ||||||
6 | indebtedness constitutes
or creates a lien or charge on, or | ||||||
7 | right to profits from, any property not
situated in this State, | ||||||
8 | this fee shall be paid only on the amount of any such
issue | ||||||
9 | which is the same proportion of the whole issue as the property | ||||||
10 | situated
in this State is of the total property on which such | ||||||
11 | securities issue creates a
lien or charge, or from which a | ||||||
12 | right to profits is established; and provided
further, that no | ||||||
13 | public utility shall be required to pay any fee for permission
| ||||||
14 | granted to it by the Commission in any of the following cases:
| ||||||
15 | (1) To guarantee bonds or other securities.
| ||||||
16 | (2) To issue bonds, notes or other evidences of | ||||||
17 | indebtedness issued for
the purpose of converting, exchanging, | ||||||
18 | taking over, refunding, discharging
or retiring any bonds, | ||||||
19 | notes or other evidences of indebtedness except:
| ||||||
20 | (a) When issued for an aggregate period of longer than | ||||||
21 | 2 years for the
purpose of converting, exchanging, taking | ||||||
22 | over, refunding, discharging or
retiring any note, or | ||||||
23 | renewals thereof, issued without the consent of the
State | ||||||
24 | Public Utilities Commission of Illinois or the Public | ||||||
25 | Utilities
Commission or the Illinois Commerce Commission; | ||||||
26 | or
|
| |||||||
| |||||||
1 | (b) When issued for the purpose of converting, | ||||||
2 | exchanging, taking over,
refunding, discharging or | ||||||
3 | retiring bonds, notes or other evidences of
indebtedness | ||||||
4 | issued prior to January 1, 1914, and upon which no fee has
| ||||||
5 | been previously paid.
| ||||||
6 | (3) To issue shares of stock upon the conversion of | ||||||
7 | convertible bonds,
notes or other evidences of indebtedness or | ||||||
8 | upon the conversion of
convertible stock of another class in | ||||||
9 | accordance with a conversion
privilege contained in such | ||||||
10 | convertible bonds, notes or other evidences of
indebtedness or | ||||||
11 | contained in such convertible stock, as the case may be,
where | ||||||
12 | a fee (in the amount payable under this Section in the case of
| ||||||
13 | evidences of indebtedness) has been previously paid for the | ||||||
14 | issuance of
such convertible bonds, notes or other evidences of | ||||||
15 | indebtedness, or where
a fee (in the amount payable under this | ||||||
16 | Section in the case of stocks) has
been previously paid for the | ||||||
17 | issuance of such convertible stock, or where
such convertible | ||||||
18 | stock was issued prior to July 1, 1951 and upon which no
fee | ||||||
19 | has been previously paid, as the case may be.
| ||||||
20 | (4) To issue shares of stocks for the purpose of redeeming | ||||||
21 | or otherwise
retiring, or in exchange for, other stocks, where | ||||||
22 | the fee for the issuance
of such other stocks has been | ||||||
23 | previously paid, or where such other stocks
were issued prior | ||||||
24 | to July 1, 1951 and upon which no fee has been previously
paid, | ||||||
25 | as the case may be, but only to the extent that the par or | ||||||
26 | stated
value of the shares of stock so issued does not exceed |
| |||||||
| |||||||
1 | the par or stated
value of the other stocks redeemed or | ||||||
2 | otherwise retired or exchanged.
| ||||||
3 | All fees collected by the Commission under this Section | ||||||
4 | shall be paid
within 10 days after the receipt of the same, | ||||||
5 | accompanied by a detailed
statement of the same, into the | ||||||
6 | Public Utility Fund in the State treasury.
| ||||||
7 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
8 | Section 120. The Professional Boxing Act is amended by | ||||||
9 | changing Section 23 as follows:
| ||||||
10 | (225 ILCS 105/23) (from Ch. 111, par. 5023)
| ||||||
11 | (Section scheduled to be repealed on January 1, 2012)
| ||||||
12 | Sec. 23. Fees. The fees for the administration and | ||||||
13 | enforcement of
this Act including, but not limited to, original | ||||||
14 | licensure, renewal, and
restoration shall be set by rule. The | ||||||
15 | fees shall not be refundable.
Beginning July 1, 2003 and until | ||||||
16 | the effective date of this amendatory Act of the 96th General | ||||||
17 | Assembly , all of the fees, taxes, and fines collected under
| ||||||
18 | this Act shall be deposited into the General Professions | ||||||
19 | Dedicated Fund.
| ||||||
20 | (Source: P.A. 92-16, eff. 6-28-01;
92-499, eff. 1-1-02; 93-32, | ||||||
21 | eff. 7-1-03.)
| ||||||
22 | Section 125. The Illinois Certified Shorthand Reporters | ||||||
23 | Act of 1984 is amended by changing Section 17 as follows:
|
| |||||||
| |||||||
1 | (225 ILCS 415/17) (from Ch. 111, par. 6217)
| ||||||
2 | (Section scheduled to be repealed on January 1, 2014)
| ||||||
3 | Sec. 17. Fees; returned checks; expiration while in | ||||||
4 | military.
| ||||||
5 | (a) The
fees for the administration and enforcement of this | ||||||
6 | Act,
including but not limited to, original certification, | ||||||
7 | renewal and
restoration, shall be set by rule.
| ||||||
8 | (b) Beginning July 1, 2003 and until the effective date of | ||||||
9 | this amendatory Act of the 96th General Assembly , all of the | ||||||
10 | fees and fines collected under this
Act shall be deposited into | ||||||
11 | the General Professions Dedicated Fund.
| ||||||
12 | (c) Any person who delivers a check or other payment to the | ||||||
13 | Department
that is returned to the Department unpaid by the | ||||||
14 | financial institution upon
which it is drawn shall pay to the | ||||||
15 | Department, in addition to the amount
already owed to the | ||||||
16 | Department, a fine of $50. The fines imposed by this
Section | ||||||
17 | are in addition
to any other discipline provided under this Act | ||||||
18 | prohibiting unlicensed
practice or practice on a nonrenewed | ||||||
19 | license. The Department shall notify
the person that payment of | ||||||
20 | fees and fines shall be paid to the Department
by certified | ||||||
21 | check or money order within 30 calendar days of the
| ||||||
22 | notification. If, after the expiration of 30 days from the date | ||||||
23 | of the
notification, the person has failed to submit the | ||||||
24 | necessary remittance, the
Department shall automatically | ||||||
25 | terminate the license or certificate or deny
the application, |
| |||||||
| |||||||
1 | without hearing. If, after termination or denial, the
person | ||||||
2 | seeks a license or certificate, he or she shall apply to the
| ||||||
3 | Department for restoration or issuance of the license or | ||||||
4 | certificate and
pay all fees and fines due to the Department. | ||||||
5 | The Department may establish
a fee for the processing of an | ||||||
6 | application for restoration of a license or
certificate to pay | ||||||
7 | all expenses of processing this application. The Director
may | ||||||
8 | waive the fines due under this Section in individual cases | ||||||
9 | where the
Director finds that the fines would be unreasonable | ||||||
10 | or unnecessarily
burdensome.
| ||||||
11 | However, any person whose license has expired while he has | ||||||
12 | been engaged
(l) in federal or state service active duty, or | ||||||
13 | (2) in training or education
under the supervision of the | ||||||
14 | United States preliminary to induction into
the military | ||||||
15 | service, may have his license renewed, reinstated or restored
| ||||||
16 | without paying any lapsed renewal and restoration fees, if | ||||||
17 | within 2 years
after termination of such service, training or | ||||||
18 | education other than by
dishonorable discharge, he furnishes | ||||||
19 | the Department with satisfactory proof
that he has been so | ||||||
20 | engaged and that his service, training or education has
been so | ||||||
21 | terminated.
| ||||||
22 | (Source: P.A. 92-146, eff. 1-1-02; 93-32, eff. 7-1-03; 93-460, | ||||||
23 | eff. 8-8-03.)
| ||||||
24 | Section 130. The Weights and Measures Act is amended by | ||||||
25 | changing Section 8.1 as follows:
|
| |||||||
| |||||||
1 | (225 ILCS 470/8.1) (from Ch. 147, par. 108.1)
| ||||||
2 | Sec. 8.1. Registration of servicepersons, service agents, | ||||||
3 | and
special sealers. No person,
firm, or corporation shall | ||||||
4 | sell, install, service, recondition or repair a
weighing or | ||||||
5 | measuring device used in trade or commerce without first | ||||||
6 | obtaining
a certificate of registration. Applications by | ||||||
7 | individuals for a certificate
of registration shall be made to | ||||||
8 | the Department, shall be in writing on forms
prescribed by the | ||||||
9 | Department, and shall be accompanied by the required fee.
| ||||||
10 | Each application shall provide such information that will | ||||||
11 | enable the
Department to pass on the qualifications of the | ||||||
12 | applicant for the
certificate of registration. The information | ||||||
13 | requests shall
include
present residence, location of the | ||||||
14 | business to be licensed under this Act,
whether the applicant | ||||||
15 | has had any previous registration under this Act or
any | ||||||
16 | federal, state, county, or local law, ordinance, or regulation
| ||||||
17 | relating
to servicepersons and service Agencies, whether the | ||||||
18 | applicant has
ever had
a registration suspended or revoked, | ||||||
19 | whether the applicant has been
convicted of a felony, and such | ||||||
20 | other information as the Department deems
necessary to | ||||||
21 | determine if the applicant is qualified to receive a
| ||||||
22 | certificate of registration.
| ||||||
23 | Before any certificate of registration is issued, the | ||||||
24 | Department shall
require the registrant to meet the following | ||||||
25 | qualifications:
|
| |||||||
| |||||||
1 | (1) Has possession of or available for use weights and
| ||||||
2 | measures, standards,
and testing equipment appropriate in | ||||||
3 | design and adequate in amount to provide
the services for | ||||||
4 | which the person is requesting registration.
| ||||||
5 | (2) Passes a qualifying examination for each type of | ||||||
6 | weighing
or measuring
device he intends to install, | ||||||
7 | service, recondition, or repair.
| ||||||
8 | (3) Demonstrates a working knowledge of weighing and | ||||||
9 | measuring
devices
for which he intends to be registered.
| ||||||
10 | (4) Has a working knowledge of all appropriate weights | ||||||
11 | and
measures laws
and their rules and regulations.
| ||||||
12 | (5) Has available a current copy of National Institute | ||||||
13 | of Standards and
Technology Handbook 44.
| ||||||
14 | (6) Pays the prescribed registration fee for the type | ||||||
15 | of
registration:
| ||||||
16 | (A) The annual fee for a Serviceperson Certificate | ||||||
17 | of
Registration shall be
$5
$25 .
| ||||||
18 | (B) The annual fee for a Special Sealer Certificate | ||||||
19 | of
Registration shall
be
$25
$50 .
| ||||||
20 | (C) The annual fee for a Service Agency Certificate | ||||||
21 | of
Registration shall
be
$25
$50 .
| ||||||
22 | "Registrant" means any individual, partnership, | ||||||
23 | corporation, agency, firm,
or company registered by the | ||||||
24 | Department who installs, services, repairs,
or reconditions, | ||||||
25 | for hire, award, commission, or any other payment of
any
kind, | ||||||
26 | any commercial weighing or measuring device.
|
| |||||||
| |||||||
1 | "Commercial weighing and measuring device" means any | ||||||
2 | weight or measure
or weighing or measuring device commercially | ||||||
3 | used or employed (i) in
establishing
size, quantity, extent, | ||||||
4 | area, or measurement of quantities, things, produce,
or | ||||||
5 | articles for distribution or consumption which are purchased, | ||||||
6 | offered,
or submitted for sale, hire, or award, or (ii) in | ||||||
7 | computing any basic
charge
or payment for services rendered, | ||||||
8 | except as otherwise excluded by Section
2 of this Act, and | ||||||
9 | shall also include any accessory attached to or used
in | ||||||
10 | connection with a commercial weighing or measuring device when | ||||||
11 | the
accessory is so designed or installed that its operation | ||||||
12 | affects, or may
affect, the accuracy of the device.
| ||||||
13 | "Serviceperson" means any individual who sells, installs, | ||||||
14 | services,
repairs, or
reconditions, for hire, award, | ||||||
15 | commission, or any other payment of
kind,
a commercial weighing | ||||||
16 | or measuring device.
| ||||||
17 | "Service agency" means any individual, agency, firm, | ||||||
18 | company, or corporation
that, for hire, award, commission, or | ||||||
19 | any other payment of
any kind, sells, installs,
services, | ||||||
20 | repairs, or reconditions a commercial weighing or measuring | ||||||
21 | device.
| ||||||
22 | "Special sealer" means any serviceperson who is allowed to | ||||||
23 | service only one
service agency's liquid petroleum meters or | ||||||
24 | liquid petroleum measuring
devices.
| ||||||
25 | Each registered service agency and serviceperson shall | ||||||
26 | have report forms,
known as "Placed in Service Reports". These |
| |||||||
| |||||||
1 | forms shall be
executed in
triplicate, shall include the | ||||||
2 | assigned registration number (in the case
where a registered | ||||||
3 | serviceperson is representing a registered service
agency both | ||||||
4 | assigned registration numbers shall be included), and shall be
| ||||||
5 | signed by a registered serviceperson or by a registered | ||||||
6 | serviceperson
representing a registered service agency for | ||||||
7 | each rejected or repaired
device restored to service and for | ||||||
8 | each newly installed device placed in
service.
Whenever a | ||||||
9 | registered serviceperson or special sealer places into service | ||||||
10 | a
weighing or
measuring device, there shall be affixed to the | ||||||
11 | device indicator a decal
provided by the Department that | ||||||
12 | indicates the device accuracy.
| ||||||
13 | Within 5 days after a device is restored to service or | ||||||
14 | placed in service,
the original of a properly executed "Placed | ||||||
15 | in Service Report", together
with any official rejection tag or | ||||||
16 | seal removed from the device, shall be
mailed to the | ||||||
17 | Department. The duplicate copy of the report shall be handed
to | ||||||
18 | the owner or operator of the device and the triplicate copy of | ||||||
19 | the report
shall be retained by the service agency or | ||||||
20 | serviceperson.
| ||||||
21 | A registered service agency and a registered serviceperson | ||||||
22 | shall submit,
at least once every 2 years to the Department for | ||||||
23 | examination
and
certification, any standards and testing | ||||||
24 | equipment that are used, or are to
be used, in the performance | ||||||
25 | of the service and testing functions with
respect to weighing | ||||||
26 | and measuring devices for which competence is
registered. A |
| |||||||
| |||||||
1 | registered serviceperson or agency shall not use in
servicing | ||||||
2 | commercial weighing and measuring devices any standards or
| ||||||
3 | testing equipment that have not been certified by the | ||||||
4 | Department.
| ||||||
5 | When a serviceperson's or service agency's weights and | ||||||
6 | measures are carried
to a National Institute of Standards and | ||||||
7 | Technology approved
out-of-state weights and measures
| ||||||
8 | laboratory for inspection and testing, the serviceperson
or | ||||||
9 | service agency
shall be responsible for providing the | ||||||
10 | Department a copy of the current
certification of all weights | ||||||
11 | and measures used in the repair, service, or
testing of | ||||||
12 | weighing or measuring devices within the State of Illinois.
| ||||||
13 | All registered servicepersons placing into service
scales | ||||||
14 | in excess of
30,000 pounds shall have a minimum of 10,000 | ||||||
15 | pounds of State approved
certified test weights to accurately | ||||||
16 | test a scale.
| ||||||
17 | Persons working as apprentices are not subject to | ||||||
18 | registration if they
work with and under the supervision of a | ||||||
19 | registered serviceperson.
| ||||||
20 | The Director is authorized to promulgate, after public | ||||||
21 | hearing, rules
and regulations necessary to enforce the | ||||||
22 | provisions of this Section.
| ||||||
23 | For good cause and after a hearing upon reasonable notice, | ||||||
24 | the Director
may deny any application for registration or any | ||||||
25 | application for renewal
of registration, or may revoke or | ||||||
26 | suspend the registration of any registrant.
|
| ||||||||||||||||||||||
| ||||||||||||||||||||||
1 | The Director may publish from time to time as he deems | |||||||||||||||||||||
2 | appropriate, and
may supply upon request, lists of registered | |||||||||||||||||||||
3 | servicepersons and registered
service agencies.
| |||||||||||||||||||||
4 | All final administrative decisions of the Director under | |||||||||||||||||||||
5 | this Section shall
be subject to judicial review under the | |||||||||||||||||||||
6 | Administrative
Review Law. The term "administrative
decision"
| |||||||||||||||||||||
7 | is defined as in Section 1 of the Administrative Review Law.
| |||||||||||||||||||||
8 | (Source: P.A. 93-32, eff. 7-1-03.)
| |||||||||||||||||||||
9 | Section 135. The Liquor Control Act of 1934 is amended by | |||||||||||||||||||||
10 | changing Section 5-3 as follows:
| |||||||||||||||||||||
11 | (235 ILCS 5/5-3) (from Ch. 43, par. 118)
| |||||||||||||||||||||
12 | Sec. 5-3. License fees. Except as otherwise provided | |||||||||||||||||||||
13 | herein, at the time
application is made to the State Commission | |||||||||||||||||||||
14 | for a license of any class, the
applicant shall pay to the | |||||||||||||||||||||
15 | State Commission the fee hereinafter provided for
the kind of | |||||||||||||||||||||
16 | license applied for.
| |||||||||||||||||||||
17 | The fee for licenses issued by the State Commission shall | |||||||||||||||||||||
18 | be as follows:
| |||||||||||||||||||||
19 | For a manufacturer's license:
| |||||||||||||||||||||
|
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
|
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
21 | Fees collected under this Section shall be paid into the
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
22 | Dram Shop Fund. On and after July 1, 2003, and until the | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
23 | effective date of this amendatory Act of the 96th General | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
24 | Assembly, of the funds received for a
retailer's license, in
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
25 | addition to the
first $175, an additional $75 shall be paid | |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
26 | into the Dram Shop Fund, and $250
shall be
paid into the |
| |||||||
| |||||||
1 | General Revenue Fund. Beginning June 30, 1990 and beginning | ||||||
2 | again on the effective date of this amendatory Act of the 96th | ||||||
3 | General Assembly and on June 30
of each
subsequent year | ||||||
4 | thereafter through June 29, 2003 , any balance over $5,000,000
| ||||||
5 | remaining in the Dram Shop Fund
shall be credited to State | ||||||
6 | liquor licensees and applied against their fees for
State | ||||||
7 | liquor licenses for the following year. The amount credited to | ||||||
8 | each
licensee shall be a proportion of the balance in the Dram | ||||||
9 | Fund that is the
same as the proportion of the license fee paid | ||||||
10 | by the licensee under
this Section for the period in which the | ||||||
11 | balance was accumulated to the
aggregate fees paid by all | ||||||
12 | licensees during that period.
| ||||||
13 | No fee shall be paid for licenses issued by the State | ||||||
14 | Commission to
the following non-beverage users:
| ||||||
15 | (a) Hospitals, sanitariums, or clinics when their use | ||||||
16 | of alcoholic
liquor is exclusively medicinal, mechanical | ||||||
17 | or scientific.
| ||||||
18 | (b) Universities, colleges of learning or schools when | ||||||
19 | their use of
alcoholic liquor is exclusively medicinal, | ||||||
20 | mechanical or scientific.
| ||||||
21 | (c) Laboratories when their use is exclusively for the | ||||||
22 | purpose of
scientific research.
| ||||||
23 | (Source: P.A. 95-634, eff. 6-1-08 .)
| ||||||
24 | Section 140. The Environmental Protection Act is amended by | ||||||
25 | changing Section 9.6, 12.2, 16.1, 22.8, 22.15, 22.44, 39.5, |
| |||||||
| |||||||
1 | 55.8, 56.4, 56.5, and 56.6 as follows:
| ||||||
2 | (415 ILCS 5/9.6) (from Ch. 111 1/2, par. 1009.6)
| ||||||
3 | Sec. 9.6. Air pollution operating permit fee.
| ||||||
4 | (a) For any site for which an air pollution operating | ||||||
5 | permit is required,
other than a site permitted solely as a | ||||||
6 | retail liquid dispensing facility
that has air pollution | ||||||
7 | control equipment or an agrichemical facility with an
endorsed | ||||||
8 | permit pursuant to Section 39.4, the owner or operator of that | ||||||
9 | site
shall pay an initial annual fee to the Agency within 30 | ||||||
10 | days of receipt of the
permit and an annual fee each year | ||||||
11 | thereafter for as long as a permit is in
effect. The owner or | ||||||
12 | operator of a portable emission unit, as defined in 35
Ill. | ||||||
13 | Adm. Code 201.170, may change the site of any unit previously | ||||||
14 | permitted
without paying an additional fee under this Section | ||||||
15 | for each site change,
provided that no further change to the | ||||||
16 | permit is otherwise necessary or
requested.
| ||||||
17 | (b) The
Notwithstanding any rules to the contrary, the | ||||||
18 | following fee amounts
shall apply:
| ||||||
19 | (1) The fee for a site permitted to emit less than 25 | ||||||
20 | tons per year of
any combination of regulated air | ||||||
21 | pollutants, as defined in Section 39.5 of
this Act, is $100 | ||||||
22 | per year beginning July 1, 1993 and on and after the | ||||||
23 | effective date of this amendatory Act of the 96th General | ||||||
24 | Assembly , and increases to $200
per year beginning on July | ||||||
25 | 1, 2003, except as provided in subsection (c) of
this |
| |||||||
| |||||||
1 | Section.
| ||||||
2 | (2) The fee for a site permitted to emit at least 25 | ||||||
3 | tons per year but
less than 100 tons per year of any | ||||||
4 | combination of regulated air pollutants,
as defined in | ||||||
5 | Section 39.5 of this Act, is $1,000 per year beginning July | ||||||
6 | 1,
1993 and on and after the effective date of this | ||||||
7 | amendatory Act of the 96th General Assembly , and increases | ||||||
8 | to $1,800 per year beginning on July 1, 2003 and until the | ||||||
9 | effective date of this amendatory Act of the 96th General | ||||||
10 | Assembly , except
as provided in subsection (c) of this | ||||||
11 | Section.
| ||||||
12 | (3) The fee for a site permitted to emit at least 100 | ||||||
13 | tons per year
of any combination of regulated air | ||||||
14 | pollutants is $2,500 per year beginning
July 1, 1993, and | ||||||
15 | increases to $3,500 per year beginning on July 1, 2003,
| ||||||
16 | except as provided in subsection (c) of this Section; | ||||||
17 | provided, however, that
the fee shall not exceed the amount | ||||||
18 | that would be required for the site if it
were subject to | ||||||
19 | the fee requirements of Section 39.5 of this Act.
| ||||||
20 | (c) The owner or operator of any source subject to | ||||||
21 | paragraphs (b)(1),
(b)(2), or (b)(3) of this Section that | ||||||
22 | becomes subject to Section 39.5
of this Act shall continue to | ||||||
23 | pay the fee set forth in this Section until the
source becomes | ||||||
24 | subject to the fee set forth within subsection 18 of Section
| ||||||
25 | 39.5 of this Act. In the event a site has paid a fee under this | ||||||
26 | Section during
the 12 month period following the effective date |
| |||||||
| |||||||
1 | of the CAAPP for that
site , the fee amount
shall be deducted | ||||||
2 | from any amount due under subsection 18 of Section 39.5 of
this | ||||||
3 | Act. Owners or operators that are subject to paragraph (b)(1), | ||||||
4 | (b)(2), or
(b)(3) of this Section, but that are not also | ||||||
5 | subject to Section
39.5, or excluded pursuant to subsection 1.1 | ||||||
6 | or subsection 3(c)
of Section 39.5 shall continue to pay the | ||||||
7 | fee amounts set forth within
paragraphs (b)(1), (b)(2), or | ||||||
8 | (b)(3), whichever is applicable.
| ||||||
9 | (d) Only one air pollution site fee may be collected from | ||||||
10 | any
site, even if such site receives more than one air | ||||||
11 | pollution control permit.
| ||||||
12 | (e) The Agency shall establish procedures for the | ||||||
13 | collection of air
pollution site fees. Air pollution site fees | ||||||
14 | may be paid annually, or in
advance for the number of years for | ||||||
15 | which the permit is issued, at the option
of the owner or | ||||||
16 | operator. Payment in advance does not exempt the owner or
| ||||||
17 | operator from paying any increase in the fee that may occur | ||||||
18 | during the term of
the permit; the owner or operator must pay | ||||||
19 | the amount of the increase upon
and from the effective date of | ||||||
20 | the increase.
| ||||||
21 | (f) The Agency may deny an application for the issuance , | ||||||
22 | transfer, or
renewal of an air pollution operating permit if | ||||||
23 | any air pollution site fee
owed by the applicant has not been | ||||||
24 | paid within 60 days of the due date, unless
the applicant, at | ||||||
25 | the time of application, pays to the Agency in advance the
air | ||||||
26 | pollution site fee for the site that is the subject of the |
| |||||||
| |||||||
1 | operating
permit, plus any other air pollution site fees then | ||||||
2 | owed by the applicant.
The denial of an air pollution operating | ||||||
3 | permit for failure to pay an air
pollution site fee shall be | ||||||
4 | subject to review by the Board pursuant to the
provisions of | ||||||
5 | subsection (a) of Section 40 of this Act.
| ||||||
6 | (g) (Blank).
If the Agency determines that an owner or | ||||||
7 | operator of a site was
required, but failed, to timely obtain | ||||||
8 | an air pollution operating permit,
and as a result avoided the | ||||||
9 | payment of permit fees, the Agency may collect the
avoided | ||||||
10 | permit fees with or without pursuing enforcement under Section | ||||||
11 | 31 of
this Act. The avoided permit fees shall be calculated as | ||||||
12 | double the amount
that would have been owed had a permit been | ||||||
13 | timely obtained. Fees collected
pursuant to this subsection (g) | ||||||
14 | shall be deposited into the Environmental
Protection Permit and | ||||||
15 | Inspection Fund.
| ||||||
16 | (h) (Blank).
If the Agency determines that an owner or | ||||||
17 | operator of a site was
required, but failed, to timely obtain | ||||||
18 | an air pollution operating permit and
as a result avoided the | ||||||
19 | payment of permit fees, an enforcement action may be
brought | ||||||
20 | under Section 31 of this Act. In addition to any other relief | ||||||
21 | that
may be obtained as part of this action, the Agency may | ||||||
22 | seek to recover the
avoided permit fees. The avoided permit | ||||||
23 | fees shall be calculated as double
the amount that would have | ||||||
24 | been owed had a permit been timely obtained. Fees
collected | ||||||
25 | pursuant to this subsection (h) shall be deposited into the
| ||||||
26 | Environmental Protection Permit and Inspection Fund.
|
| |||||||
| |||||||
1 | (i) (Blank).
If a permittee subject to a fee under this
| ||||||
2 | Section fails to pay the fee within 90 days of its due date, or | ||||||
3 | makes the
fee payment from an account with insufficient funds | ||||||
4 | to cover the amount of the
fee payment, the Agency shall notify | ||||||
5 | the permittee of the failure to pay the
fee. If the permittee | ||||||
6 | fails to pay the fee within 60 days after such
notification, | ||||||
7 | the Agency may, by written notice, immediately revoke the air
| ||||||
8 | pollution operating permit. Failure of the Agency to notify the | ||||||
9 | permittee of
failure to pay a fee due under this Section, or | ||||||
10 | the payment of the fee from
an account with insufficient funds | ||||||
11 | to cover the amount of the fee payment, does
not excuse or | ||||||
12 | alter the duty of the permittee to comply with the provisions | ||||||
13 | of
this Section.
| ||||||
14 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
15 | (415 ILCS 5/12.2) (from Ch. 111 1/2, par. 1012.2)
| ||||||
16 | Sec. 12.2. Water pollution construction permit fees.
| ||||||
17 | (a) Beginning July 1, 2003, the Agency shall
collect a fee | ||||||
18 | in the amount set forth in this Section for any sewer which | ||||||
19 | requires a construction permit under
paragraph (b) of Section | ||||||
20 | 12, from each applicant for a sewer construction
permit under | ||||||
21 | paragraph (b) of Section 12 or regulations adopted hereunder. :
| ||||||
22 | (1) for any sewer which requires a construction permit | ||||||
23 | under
paragraph (b) of Section 12, from each applicant for | ||||||
24 | a sewer construction
permit under paragraph (b) of Section | ||||||
25 | 12 or regulations adopted hereunder;
and
|
| |||||||
| |||||||
1 | (2) for any treatment works, industrial pretreatment | ||||||
2 | works, or
industrial wastewater source that requires a | ||||||
3 | construction permit under
paragraph (b) of Section 12, from | ||||||
4 | the applicant for the construction permit.
However, no fee | ||||||
5 | shall be required for a treatment works or wastewater | ||||||
6 | source
directly covered and authorized under an NPDES | ||||||
7 | permit issued by the Agency,
nor for any treatment works, | ||||||
8 | industrial pretreatment works, or industrial
wastewater | ||||||
9 | source (i) that is under or pending construction authorized | ||||||
10 | by a
valid construction permit issued by the Agency prior | ||||||
11 | to July 1, 2003, during
the term of that construction | ||||||
12 | permit, or (ii) for which a completed
construction permit | ||||||
13 | application has been received by the Agency prior to
July | ||||||
14 | 1, 2003, with respect to the permit issued under that | ||||||
15 | application.
| ||||||
16 | (b) Each applicant or person required to pay a fee under | ||||||
17 | this Section
shall submit the fee to the Agency along with the | ||||||
18 | permit application. The
Agency shall deny any construction | ||||||
19 | permit application for which a fee is
required under this | ||||||
20 | Section that does not contain the appropriate fee.
| ||||||
21 | (c) The amount of the fee is as follows:
| ||||||
22 | (1) A $50
$100 fee shall be required for any sewer | ||||||
23 | constructed
with a design population of 1.
| ||||||
24 | (2) A $200
$400 fee shall be required for any sewer | ||||||
25 | constructed
with a design population of 2 to 20.
| ||||||
26 | (3) A $400
$800 fee shall be required for any sewer |
| |||||||
| |||||||
1 | constructed
with a design population greater than 20 but | ||||||
2 | less than 101.
| ||||||
3 | (4) A $600
$1200 fee shall be required for any sewer | ||||||
4 | constructed
with a design population greater than 100 but | ||||||
5 | less than 500.
| ||||||
6 | (5) A $1,200
$2400 fee shall be required for any sewer | ||||||
7 | constructed
with a design population of 500 or more.
| ||||||
8 | (6) A $1,000 fee shall be required for any industrial | ||||||
9 | wastewater source
that does not require pretreatment of the | ||||||
10 | wastewater prior to discharge to the
publicly owned | ||||||
11 | treatment works or publicly regulated treatment works.
| ||||||
12 | (7) A $3,000 fee shall be required for any industrial | ||||||
13 | wastewater source
that requires pretreatment of the | ||||||
14 | wastewater for non-toxic pollutants prior to
discharge to | ||||||
15 | the publicly owned treatment works or publicly regulated | ||||||
16 | treatment
works.
| ||||||
17 | (8) A $6,000 fee shall be required for any industrial | ||||||
18 | wastewater source
that requires pretreatment of the | ||||||
19 | wastewater for toxic pollutants prior to
discharge to the | ||||||
20 | publicly owned treatment works or publicly regulated | ||||||
21 | treatment
works.
| ||||||
22 | (9) A $2,500 fee shall be required for construction | ||||||
23 | relating to land
application of industrial sludge or spray | ||||||
24 | irrigation of industrial
wastewater.
| ||||||
25 | All fees collected by the Agency under this Section shall | ||||||
26 | be deposited into
the Environmental Protection Permit and |
| |||||||
| |||||||
1 | Inspection Fund in accordance with
Section 22.8.
| ||||||
2 | (d) Prior to a final Agency decision on a permit | ||||||
3 | application for which
a fee has been paid under this Section, | ||||||
4 | the applicant may propose
modification to the application in | ||||||
5 | accordance with this Act and regulations
adopted hereunder | ||||||
6 | without any additional fee becoming due, unless the
proposed | ||||||
7 | modifications cause an increase in the design population served | ||||||
8 | by
the sewer specified in the permit application before the | ||||||
9 | modifications
or the modifications cause a change in the | ||||||
10 | applicable fee category stated
in subsection (c) . If the | ||||||
11 | modifications cause such an increase or change
the fee category | ||||||
12 | and the increase results in additional fees being due under
| ||||||
13 | subsection (c), the applicant shall submit the additional fee | ||||||
14 | to the Agency
with the proposed modifications.
| ||||||
15 | (e) No fee shall be due under this Section from:
| ||||||
16 | (1) any department, agency or unit of State government | ||||||
17 | for installing or
extending a sewer;
| ||||||
18 | (2) any unit of local government with which the Agency | ||||||
19 | has entered into a
written delegation agreement under | ||||||
20 | Section 4 which allows such
unit to issue construction | ||||||
21 | permits under this Title, or regulations adopted
| ||||||
22 | hereunder, for installing or extending a sewer; or
| ||||||
23 | (3) any unit of local government or school district for | ||||||
24 | installing or
extending a sewer where both of the following | ||||||
25 | conditions are met:
| ||||||
26 | (i) the cost of the installation or extension is |
| |||||||
| |||||||
1 | paid wholly from monies
of the unit of local government | ||||||
2 | or school district, State grants or loans,
federal | ||||||
3 | grants or loans, or any combination thereof; and
| ||||||
4 | (ii) the unit of local government or school | ||||||
5 | district is not given
monies, reimbursed or paid, | ||||||
6 | either in whole or in part, by another person
(except | ||||||
7 | for State grants or loans or federal grants or loans) | ||||||
8 | for the
installation or extension.
| ||||||
9 | (f) The Agency may establish procedures relating to the | ||||||
10 | collection of
fees under this Section. The Agency shall not | ||||||
11 | refund any fee paid to it
under this Section. Notwithstanding | ||||||
12 | the provisions of any rule adopted
before July 1, 2003 | ||||||
13 | concerning fees under this Section, the Agency
shall assess and | ||||||
14 | collect the fees imposed under subdivision (a)(2) of this
| ||||||
15 | Section and the increases in the fees imposed under subdivision | ||||||
16 | (a)(1) of
this Section beginning on July 1, 2003, for all | ||||||
17 | completed applications
received on or after that date.
| ||||||
18 | (g) Notwithstanding any other provision of this Act, the | ||||||
19 | Agency shall,
not later than 45 days following the receipt of | ||||||
20 | both an application for a
construction permit and the fee | ||||||
21 | required by this Section, either approve
that application and | ||||||
22 | issue a permit or tender to the applicant a written
statement | ||||||
23 | setting forth with specificity the reasons for the disapproval | ||||||
24 | of
the application and denial of a permit. If the Agency takes | ||||||
25 | no final action
within 45 days after the filing of the | ||||||
26 | application for a permit, the applicant
may deem the permit |
| |||||||
| |||||||
1 | issued.
| ||||||
2 | (h) (Blank).
For purposes of this Section:
| ||||||
3 | "Toxic pollutants" means those pollutants defined in | ||||||
4 | Section 502(13) of
the federal Clean Water Act and regulations | ||||||
5 | adopted pursuant to that Act.
| ||||||
6 | "Industrial" refers to those industrial users referenced | ||||||
7 | in Section 502(13)
of the federal Clean Water Act and | ||||||
8 | regulations adopted pursuant to that Act.
| ||||||
9 | "Pretreatment" means the reduction of the amount of | ||||||
10 | pollutants, the
elimination of pollutants, or the alteration of | ||||||
11 | the nature of pollutant
properties in wastewater prior to or in | ||||||
12 | lieu of discharging or otherwise
introducing those pollutants | ||||||
13 | into a publicly owned treatment works or publicly
regulated | ||||||
14 | treatment works.
| ||||||
15 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
16 | (415 ILCS 5/16.1) (from Ch. 111 1/2, par. 1016.1)
| ||||||
17 | Sec. 16.1. Permit fees.
| ||||||
18 | (a) Except as provided in
subsection (f), the Agency shall | ||||||
19 | collect a fee in the amount set forth in
subsection (d) from: | ||||||
20 | (1) each applicant for a construction permit under this
Title, | ||||||
21 | or regulations adopted hereunder, to install or extend water | ||||||
22 | main;
and (2) each person who submits as-built plans under this | ||||||
23 | Title, or
regulations adopted hereunder, to install or extend | ||||||
24 | water main.
| ||||||
25 | (b) Except as provided in subsection (c), each applicant or |
| |||||||
| |||||||
1 | person
required to pay a fee under this Section shall submit | ||||||
2 | the fee to the
Agency along with the permit application or | ||||||
3 | as-built plans. The Agency
shall deny any construction permit | ||||||
4 | application for which a fee is required
under this Section that | ||||||
5 | does not contain the appropriate fee. The Agency
shall not | ||||||
6 | approve any as-built plans for which a fee is required under | ||||||
7 | this
Section that do not contain the appropriate fee.
| ||||||
8 | (c) Each applicant for an emergency construction permit | ||||||
9 | under this
Title, or regulations adopted hereunder, to install | ||||||
10 | or extend a water main
shall submit the appropriate fee to the | ||||||
11 | Agency within 10 calendar days from
the date of issuance of the | ||||||
12 | emergency construction permit.
| ||||||
13 | (d) The amount of the fee is as follows:
| ||||||
14 | (1) $120
$240 if the construction permit application is | ||||||
15 | to install
or extend water main that is more than 200 feet, | ||||||
16 | but not more than 1,000 feet
in length;
| ||||||
17 | (2) $360
$720 if the construction permit application is | ||||||
18 | to install
or extend water main that is more than 1,000 | ||||||
19 | feet but not more than 5,000 feet
in length;
| ||||||
20 | (3) 600
$1200 if the construction permit application is | ||||||
21 | to
install or extend water main that is more than 5,000 | ||||||
22 | feet in length.
| ||||||
23 | (e) Prior to a final Agency decision on a permit | ||||||
24 | application for which a
fee has been paid under this Section, | ||||||
25 | the applicant may propose
modifications to the application in | ||||||
26 | accordance with this Act and
regulations adopted hereunder |
| |||||||
| |||||||
1 | without any additional fee becoming due
unless the proposed | ||||||
2 | modifications cause the length of water main to
increase beyond | ||||||
3 | the length specified in the permit application before the
| ||||||
4 | modifications. If the modifications cause such an increase and | ||||||
5 | the
increase results in additional fees being due under | ||||||
6 | subsection (d), the
applicant shall submit the additional fee | ||||||
7 | to the Agency with the
proposed modifications.
| ||||||
8 | (f) No fee shall be due under this Section from (1) any | ||||||
9 | department, agency
or unit of State government for installing | ||||||
10 | or extending a water main; (2)
any unit of local government | ||||||
11 | with which the Agency has entered into a
written delegation | ||||||
12 | agreement under Section 4 of this Act which allows such
unit to | ||||||
13 | issue construction permits under this Title, or regulations | ||||||
14 | adopted
hereunder, for installing or extending a water main; or | ||||||
15 | (3) any unit of
local government or school district for | ||||||
16 | installing or extending a water
main where both of the
| ||||||
17 | following conditions are met: (i) the cost of the installation | ||||||
18 | or
extension is paid wholly from monies of the unit of local | ||||||
19 | government or
school district, State
grants or loans, federal | ||||||
20 | grants or loans, or any combination thereof; and
(ii) the unit | ||||||
21 | of local government or school district is not given
monies, | ||||||
22 | reimbursed or paid,
either in whole or in part, by another | ||||||
23 | person (except for State grants or
loans or federal grants or | ||||||
24 | loans) for the installation or extension.
| ||||||
25 | (g) The Agency may establish procedures relating to the | ||||||
26 | collection of
fees under this Section. The Agency shall not |
| |||||||
| |||||||
1 | refund any fee paid to it
under this Section.
| ||||||
2 | (h) For the purposes of this Section, the term "water main" | ||||||
3 | means any
pipe that is to be used for the purpose of | ||||||
4 | distributing potable water which
serves or is accessible to | ||||||
5 | more than one property, dwelling or rental unit,
and that is | ||||||
6 | exterior to buildings.
| ||||||
7 | (i) Notwithstanding any other provision of this Act, the | ||||||
8 | Agency shall,
not later than 45 days following the receipt of | ||||||
9 | both an application for a
construction permit and the fee | ||||||
10 | required by this Section, either approve
that application and | ||||||
11 | issue a permit or tender to the applicant a written
statement | ||||||
12 | setting forth with specificity the reasons for the disapproval | ||||||
13 | of
the application and denial of a permit. If there is no final | ||||||
14 | action by the
Agency within 45 days after the filing of the | ||||||
15 | application for a permit, the
applicant may deem the permit | ||||||
16 | issued.
| ||||||
17 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
18 | (415 ILCS 5/22.8) (from Ch. 111 1/2, par. 1022.8)
| ||||||
19 | Sec. 22.8. Environmental Protection Permit and Inspection | ||||||
20 | Fund.
| ||||||
21 | (a) There is hereby created in the State Treasury a special | ||||||
22 | fund to be known
as the Environmental Protection Permit and | ||||||
23 | Inspection Fund. All fees collected
by the Agency pursuant to | ||||||
24 | this Section, Section 9.6, 12.2, 16.1, 22.2
(j)(6)(E)(v)(IV), | ||||||
25 | 56.4, 56.5, 56.6, and subsection (f) of Section 5 of this
Act |
| |||||||
| |||||||
1 | or pursuant to Section 22 of the Public Water Supply Operations | ||||||
2 | Act
and funds collected under subsection (b.5) of Section 42 of | ||||||
3 | this Act
shall be deposited into the Fund. In addition to any | ||||||
4 | monies appropriated
from the General Revenue Fund, monies in | ||||||
5 | the Fund shall be appropriated
by the General Assembly to the | ||||||
6 | Agency in amounts deemed necessary for
manifest, permit, and | ||||||
7 | inspection activities and for processing requests
under | ||||||
8 | Section 22.2 (j)(6)(E)(v)(IV).
| ||||||
9 | The General Assembly may appropriate monies in the Fund | ||||||
10 | deemed necessary
for Board regulatory and adjudicatory | ||||||
11 | proceedings.
| ||||||
12 | (b) The Agency shall collect from the
owner or operator of | ||||||
13 | any of the following types of hazardous waste disposal
sites or | ||||||
14 | management facilities which require a RCRA permit under | ||||||
15 | subsection
(f) of Section 21 of this Act, or a UIC permit under | ||||||
16 | subsection (g) of Section
12 of this Act, an annual fee in the | ||||||
17 | amount of:
| ||||||
18 | (1) $35,000 ($70,000 beginning in 2004 and until the | ||||||
19 | effective date of this amendatory Act of the 96th General | ||||||
20 | Assembly )
for a hazardous waste disposal site receiving | ||||||
21 | hazardous
waste if the hazardous waste disposal site is | ||||||
22 | located off the site where
such waste was produced;
| ||||||
23 | (2) $9,000 ($18,000 beginning in 2004 and until the | ||||||
24 | effective date of this amendatory Act of the 96th General | ||||||
25 | Assembly )
for a hazardous waste disposal site receiving | ||||||
26 | hazardous waste
if the hazardous waste disposal site is |
| |||||||
| |||||||
1 | located on the site where such
waste was produced;
| ||||||
2 | (3) $7,000 ($14,000 beginning in 2004 and until the | ||||||
3 | effective date of this amendatory Act of the 96th General | ||||||
4 | Assembly )
for a hazardous waste disposal site receiving | ||||||
5 | hazardous waste
if the hazardous waste disposal site is an | ||||||
6 | underground injection well;
| ||||||
7 | (4) $2,000 ($4,000 beginning in 2004 and until the | ||||||
8 | effective date of this amendatory Act of the 96th General | ||||||
9 | Assembly )
for a hazardous waste management facility | ||||||
10 | treating
hazardous waste by incineration;
| ||||||
11 | (5) $1,000 ($2,000 beginning in 2004 and until the | ||||||
12 | effective date of this amendatory Act of the 96th General | ||||||
13 | Assembly )
for a hazardous waste management facility | ||||||
14 | treating hazardous
waste by a method, technique or process | ||||||
15 | other than incineration;
| ||||||
16 | (6) $1,000 ($2,000 beginning in 2004 and until the | ||||||
17 | effective date of this amendatory Act of the 96th General | ||||||
18 | Assembly )
for a hazardous waste management facility | ||||||
19 | storing hazardous
waste in a surface impoundment or pile;
| ||||||
20 | (7) $250 ($500 beginning in 2004 and until the | ||||||
21 | effective date of this amendatory Act of the 96th General | ||||||
22 | Assembly )
for a hazardous waste management facility | ||||||
23 | storing hazardous
waste other than in a surface impoundment | ||||||
24 | or pile; and
| ||||||
25 | (8) (Blank).
Beginning in 2004, $500 for a large | ||||||
26 | quantity hazardous waste
generator required to submit an |
| |||||||
| |||||||
1 | annual or biennial report for hazardous waste
generation.
| ||||||
2 | (c) Where two or more operational units are located within | ||||||
3 | a single
hazardous waste disposal site, the Agency shall | ||||||
4 | collect from the owner or
operator of such site an annual fee | ||||||
5 | equal to the highest fee imposed by
subsection (b) of this | ||||||
6 | Section upon any single operational unit within the
site.
| ||||||
7 | (d) The fee imposed upon a hazardous waste disposal site | ||||||
8 | under this
Section shall be the exclusive permit and inspection | ||||||
9 | fee applicable to
hazardous waste disposal at such site, | ||||||
10 | provided that nothing in this
Section shall be construed to | ||||||
11 | diminish or otherwise affect any fee imposed
upon the owner or | ||||||
12 | operator of a hazardous waste disposal site by Section 22.2.
| ||||||
13 | (e) The Agency shall establish procedures, no later than | ||||||
14 | December 1,
1984, relating to the collection of the hazardous | ||||||
15 | waste disposal site
fees authorized by this Section. Such | ||||||
16 | procedures shall include, but not be
limited to the time and | ||||||
17 | manner of payment of fees to the Agency, which
shall be | ||||||
18 | quarterly, payable at the beginning of each quarter for | ||||||
19 | hazardous
waste disposal site fees. Annual fees required under | ||||||
20 | paragraph (7) of
subsection (b) of this Section shall accompany | ||||||
21 | the annual report required
by Board regulations for the | ||||||
22 | calendar year for which the report applies.
| ||||||
23 | (f) For purposes of this Section, a hazardous waste | ||||||
24 | disposal site
consists of one or more of the following | ||||||
25 | operational units:
| ||||||
26 | (1) a landfill receiving hazardous waste for disposal;
|
| |||||||
| |||||||
1 | (2) a waste pile or surface impoundment, receiving | ||||||
2 | hazardous waste, in
which residues which exhibit any of the | ||||||
3 | characteristics of hazardous waste
pursuant to Board | ||||||
4 | regulations are reasonably expected to remain after | ||||||
5 | closure;
| ||||||
6 | (3) a land treatment facility receiving hazardous | ||||||
7 | waste; or
| ||||||
8 | (4) a well injecting hazardous waste.
| ||||||
9 | (g) On and after the effective date of this amendatory Act | ||||||
10 | of the 96th General Assembly, the Agency shall assess a fee of | ||||||
11 | $1 for each manifest provided by the Agency shall furnish up to | ||||||
12 | 20 manifests requested by any generator at no charge and no | ||||||
13 | generator shall be required to pay more than $500 per year in | ||||||
14 | such manifest fees.
The Agency shall assess a fee for each | ||||||
15 | manifest provided by the
Agency. For manifests provided on or | ||||||
16 | after January 1, 1989 but before July 1,
2003, the fee shall be | ||||||
17 | $1 per manifest. For manifests provided on or after
July 1, | ||||||
18 | 2003, the fee shall be $3 per manifest.
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
20 | (415 ILCS 5/22.15) (from Ch. 111 1/2, par. 1022.15)
| ||||||
21 | Sec. 22.15. Solid Waste Management Fund; fees.
| ||||||
22 | (a) There is hereby created within the State Treasury a
| ||||||
23 | special fund to be known as the "Solid Waste Management Fund", | ||||||
24 | to be
constituted from the fees collected by the State pursuant | ||||||
25 | to this Section
and from repayments of loans made from the Fund |
| |||||||
| |||||||
1 | for solid waste projects.
Moneys received by the Department of | ||||||
2 | Commerce and Economic Opportunity
in repayment of loans made | ||||||
3 | pursuant to the Illinois Solid Waste Management
Act shall be | ||||||
4 | deposited into the General Revenue Fund.
| ||||||
5 | (b) The Agency shall assess and collect a
fee in the amount | ||||||
6 | set forth herein from the owner or operator of each sanitary
| ||||||
7 | landfill permitted or required to be permitted by the Agency to | ||||||
8 | dispose of
solid waste if the sanitary landfill is located off | ||||||
9 | the site where such waste
was produced and if such sanitary | ||||||
10 | landfill is owned, controlled, and operated
by a person other | ||||||
11 | than the generator of such waste. The Agency shall deposit
all | ||||||
12 | fees collected into the Solid Waste Management Fund. If a site | ||||||
13 | is
contiguous to one or more landfills owned or operated by the | ||||||
14 | same person, the
volumes permanently disposed of by each | ||||||
15 | landfill shall be combined for purposes
of determining the fee | ||||||
16 | under this subsection.
| ||||||
17 | (1) If more than 150,000 cubic yards of non-hazardous | ||||||
18 | solid waste is
permanently disposed of at a site in a | ||||||
19 | calendar year, the owner or operator
shall either pay a fee | ||||||
20 | of $0.45
95 cents per cubic yard or,
alternatively, the | ||||||
21 | owner or operator may weigh the quantity of the solid waste
| ||||||
22 | permanently disposed of with a device for which | ||||||
23 | certification has been obtained
under the Weights and | ||||||
24 | Measures Act and pay a fee of $0.95
$2.00 per
ton of solid | ||||||
25 | waste permanently disposed of. In no case shall the fee | ||||||
26 | collected
or paid by the owner or operator under this |
| |||||||
| |||||||
1 | paragraph exceed $1.05
$1.55 per cubic yard or $2.22
$3.27 | ||||||
2 | per ton.
| ||||||
3 | (2) If more than 100,000 cubic yards but not more than | ||||||
4 | 150,000 cubic
yards of non-hazardous waste is permanently | ||||||
5 | disposed of at a site in a calendar
year, the owner or | ||||||
6 | operator shall pay a fee of $25,000
$52,630 .
| ||||||
7 | (3) If more than 50,000 cubic yards but not more than | ||||||
8 | 100,000 cubic
yards of non-hazardous solid waste is | ||||||
9 | permanently disposed of at a site
in a calendar year, the | ||||||
10 | owner or operator shall pay a fee of $11,300
$23,790 .
| ||||||
11 | (4) If more than 10,000 cubic yards but not more than | ||||||
12 | 50,000 cubic
yards of non-hazardous solid waste is | ||||||
13 | permanently disposed of at a site
in a calendar year, the | ||||||
14 | owner or operator shall pay a fee of $3,450
$7,260 .
| ||||||
15 | (5) If not more than 10,000 cubic yards of | ||||||
16 | non-hazardous solid waste is
permanently disposed of at a | ||||||
17 | site in a calendar year, the owner or operator
shall pay a | ||||||
18 | fee of $500
$1050 .
| ||||||
19 | (c) (Blank.)
| ||||||
20 | (d) The Agency shall establish rules relating to the | ||||||
21 | collection of the
fees authorized by this Section. Such rules | ||||||
22 | shall include, but not be
limited to:
| ||||||
23 | (1) necessary records identifying the quantities of | ||||||
24 | solid waste received
or disposed;
| ||||||
25 | (2) the form and submission of reports to accompany the | ||||||
26 | payment of fees
to the Agency;
|
| |||||||
| |||||||
1 | (3) the time and manner of payment of fees to the | ||||||
2 | Agency, which payments
shall not be more often than | ||||||
3 | quarterly; and
| ||||||
4 | (4) procedures setting forth criteria establishing | ||||||
5 | when an owner or
operator may measure by weight or volume | ||||||
6 | during any given quarter or other
fee payment period.
| ||||||
7 | (e) Pursuant to appropriation, all monies in the Solid | ||||||
8 | Waste Management
Fund shall be used by the Agency and the | ||||||
9 | Department of Commerce and Economic Opportunity for the | ||||||
10 | purposes set forth in this Section and in the Illinois
Solid | ||||||
11 | Waste Management Act, including for the costs of fee collection | ||||||
12 | and
administration.
| ||||||
13 | (f) The Agency is authorized to enter into such agreements | ||||||
14 | and to
promulgate such rules as are necessary to carry out its | ||||||
15 | duties under this
Section and the Illinois Solid Waste | ||||||
16 | Management Act.
| ||||||
17 | (g) On the first day of January, April, July, and October | ||||||
18 | of each year,
beginning on July 1, 1996, the State Comptroller | ||||||
19 | and Treasurer shall
transfer $500,000 from the Solid Waste | ||||||
20 | Management Fund to the Hazardous Waste
Fund. Moneys transferred | ||||||
21 | under this subsection (g) shall be used only for the
purposes | ||||||
22 | set forth in item (1) of subsection (d) of Section 22.2.
| ||||||
23 | (h) The Agency is authorized to provide financial | ||||||
24 | assistance to units of
local government for the performance of | ||||||
25 | inspecting, investigating and
enforcement activities pursuant | ||||||
26 | to Section 4(r) at nonhazardous solid
waste disposal sites.
|
| |||||||
| |||||||
1 | (i) The Agency is authorized to support the operations of | ||||||
2 | an industrial
materials exchange service, and to conduct | ||||||
3 | household waste collection and
disposal programs.
| ||||||
4 | (j) A unit of local government, as defined in the Local | ||||||
5 | Solid Waste Disposal
Act, in which a solid waste disposal | ||||||
6 | facility is located may establish a fee,
tax, or surcharge with | ||||||
7 | regard to the permanent disposal of solid waste.
All fees, | ||||||
8 | taxes, and surcharges collected under this subsection shall be
| ||||||
9 | utilized for solid waste management purposes, including | ||||||
10 | long-term monitoring
and maintenance of landfills, planning, | ||||||
11 | implementation, inspection, enforcement
and other activities | ||||||
12 | consistent with the Solid Waste Management Act and the
Local | ||||||
13 | Solid Waste Disposal Act, or for any other environment-related | ||||||
14 | purpose,
including but not limited to an environment-related | ||||||
15 | public works project, but
not for the construction of a new | ||||||
16 | pollution control facility other than a
household hazardous | ||||||
17 | waste facility. However, the total fee, tax or surcharge
| ||||||
18 | imposed by all units of local government under this subsection | ||||||
19 | (j) upon the
solid waste disposal facility shall not exceed:
| ||||||
20 | (1) 60¢ per cubic yard if more than 150,000 cubic yards | ||||||
21 | of non-hazardous
solid waste is permanently disposed of at | ||||||
22 | the site in a calendar year, unless
the owner or operator | ||||||
23 | weighs the quantity of the solid waste received with a
| ||||||
24 | device for which certification has been obtained under the | ||||||
25 | Weights and Measures
Act, in which case the fee shall not | ||||||
26 | exceed $1.27 per ton of solid waste
permanently disposed |
| |||||||
| |||||||
1 | of.
| ||||||
2 | (2) $33,350 if more than 100,000
cubic yards, but not | ||||||
3 | more than 150,000 cubic yards, of non-hazardous waste
is | ||||||
4 | permanently disposed of at the site in a calendar year.
| ||||||
5 | (3) $15,500 if more than 50,000 cubic
yards, but not | ||||||
6 | more than 100,000 cubic yards, of non-hazardous solid waste | ||||||
7 | is
permanently disposed of at the site in a calendar year.
| ||||||
8 | (4) $4,650 if more than 10,000 cubic
yards, but not | ||||||
9 | more than 50,000 cubic yards, of non-hazardous solid waste
| ||||||
10 | is permanently disposed of at the site in a calendar year.
| ||||||
11 | (5) $$650 if not more than 10,000 cubic
yards of | ||||||
12 | non-hazardous solid waste is permanently disposed of at the | ||||||
13 | site in
a calendar year.
| ||||||
14 | The corporate authorities of the unit of local government
| ||||||
15 | may use proceeds from the fee, tax, or surcharge to reimburse a | ||||||
16 | highway
commissioner whose road district lies wholly or | ||||||
17 | partially within the
corporate limits of the unit of local | ||||||
18 | government for expenses incurred in
the removal of | ||||||
19 | nonhazardous, nonfluid municipal waste that has been dumped
on | ||||||
20 | public property in violation of a State law or local ordinance.
| ||||||
21 | A county or Municipal Joint Action Agency that imposes a | ||||||
22 | fee, tax, or
surcharge under this subsection may use the | ||||||
23 | proceeds thereof to reimburse a
municipality that lies wholly | ||||||
24 | or partially within its boundaries for expenses
incurred in the | ||||||
25 | removal of nonhazardous, nonfluid municipal waste that has been
| ||||||
26 | dumped on public property in violation of a State law or local |
| |||||||
| |||||||
1 | ordinance.
| ||||||
2 | If the fees are to be used to conduct a local sanitary | ||||||
3 | landfill
inspection or enforcement program, the unit of local | ||||||
4 | government must enter
into a written delegation agreement with | ||||||
5 | the Agency pursuant to subsection
(r) of Section 4. The unit of | ||||||
6 | local government and the Agency shall enter
into such a written | ||||||
7 | delegation agreement within 60 days after the
establishment of | ||||||
8 | such fees. At least annually,
the Agency shall conduct an audit | ||||||
9 | of the expenditures made by units of local
government from the | ||||||
10 | funds granted by the Agency to the units of local
government | ||||||
11 | for purposes of local sanitary landfill inspection and | ||||||
12 | enforcement
programs, to ensure that the funds have been | ||||||
13 | expended for the prescribed
purposes under the grant.
| ||||||
14 | The fees, taxes or surcharges collected under this | ||||||
15 | subsection (j) shall
be placed by the unit of local government | ||||||
16 | in a separate fund, and the
interest received on the moneys in | ||||||
17 | the fund shall be credited to the fund. The
monies in the fund | ||||||
18 | may be accumulated over a period of years to be
expended in | ||||||
19 | accordance with this subsection.
| ||||||
20 | A unit of local government, as defined in the Local Solid | ||||||
21 | Waste Disposal
Act, shall prepare and distribute to the Agency, | ||||||
22 | in April of each year, a
report that details spending plans for | ||||||
23 | monies collected in accordance with
this subsection. The report | ||||||
24 | will at a minimum include the following:
| ||||||
25 | (1) The total monies collected pursuant to this | ||||||
26 | subsection.
|
| |||||||
| |||||||
1 | (2) The most current balance of monies collected | ||||||
2 | pursuant to this
subsection.
| ||||||
3 | (3) An itemized accounting of all monies expended for | ||||||
4 | the previous year
pursuant to this subsection.
| ||||||
5 | (4) An estimation of monies to be collected for the | ||||||
6 | following 3
years pursuant to this subsection.
| ||||||
7 | (5) A narrative detailing the general direction and | ||||||
8 | scope of future
expenditures for one, 2 and 3 years.
| ||||||
9 | The exemptions granted under Sections 22.16 and 22.16a, and | ||||||
10 | under
subsections (c) and (k) of this Section, shall be | ||||||
11 | applicable to any fee,
tax or surcharge imposed under this | ||||||
12 | subsection (j); except that the fee,
tax or surcharge | ||||||
13 | authorized to be imposed under this subsection (j) may be
made | ||||||
14 | applicable by a unit of local government to the permanent | ||||||
15 | disposal of
solid waste after December 31, 1986, under any | ||||||
16 | contract lawfully executed
before June 1, 1986 under which more | ||||||
17 | than 150,000 cubic yards (or 50,000 tons)
of solid waste is to | ||||||
18 | be permanently disposed of, even though the waste is
exempt | ||||||
19 | from the fee imposed by the State under subsection (b) of this | ||||||
20 | Section
pursuant to an exemption granted under Section 22.16.
| ||||||
21 | (k) In accordance with the findings and purposes of the | ||||||
22 | Illinois Solid
Waste Management Act, beginning January 1, 1989 | ||||||
23 | the fee under subsection
(b) and the fee, tax or surcharge | ||||||
24 | under subsection (j) shall not apply to:
| ||||||
25 | (1) Waste which is hazardous waste; or
| ||||||
26 | (2) Waste which is pollution control waste; or
|
| |||||||
| |||||||
1 | (3) Waste from recycling, reclamation or reuse | ||||||
2 | processes which have been
approved by the Agency as being | ||||||
3 | designed to remove any contaminant from
wastes so as to | ||||||
4 | render such wastes reusable, provided that the process
| ||||||
5 | renders at least 50% of the waste reusable; or
| ||||||
6 | (4) Non-hazardous solid waste that is received at a | ||||||
7 | sanitary landfill
and composted or recycled through a | ||||||
8 | process permitted by the Agency; or
| ||||||
9 | (5) Any landfill which is permitted by the Agency to | ||||||
10 | receive only
demolition or construction debris or | ||||||
11 | landscape waste.
| ||||||
12 | (Source: P.A. 93-32, eff. 7-1-03; 94-91, eff. 7-1-05.)
| ||||||
13 | (415 ILCS 5/22.44)
| ||||||
14 | Sec. 22.44. Subtitle D management fees.
| ||||||
15 | (a) There is created within the State treasury a special | ||||||
16 | fund to be
known as the "Subtitle D Management Fund" | ||||||
17 | constituted from the fees collected
by the State under this | ||||||
18 | Section.
| ||||||
19 | (b) The Agency shall assess and collect
a fee in the amount | ||||||
20 | set forth in this subsection from the owner or operator of
each | ||||||
21 | sanitary landfill permitted or required to be permitted by the | ||||||
22 | Agency to
dispose of solid waste if the sanitary landfill is | ||||||
23 | located off the site where
the waste was produced and if the | ||||||
24 | sanitary landfill is owned, controlled, and
operated by a | ||||||
25 | person other than the generator of the waste. The Agency shall
|
| |||||||
| |||||||
1 | deposit all fees collected under this subsection into the | ||||||
2 | Subtitle D
Management Fund. If a site is contiguous to one or | ||||||
3 | more landfills owned or
operated by the same person, the | ||||||
4 | volumes permanently disposed of by each
landfill shall be | ||||||
5 | combined for purposes of determining the fee under this
| ||||||
6 | subsection.
| ||||||
7 | (1) If more than 150,000 cubic yards of non-hazardous | ||||||
8 | solid waste is
permanently disposed of at a site in a | ||||||
9 | calendar year, the owner or operator
shall either pay a fee | ||||||
10 | of $0.055
10.1 cents per cubic yard or,
alternatively, the | ||||||
11 | owner or operator may weigh the quantity of the solid waste
| ||||||
12 | permanently disposed of with a device for which | ||||||
13 | certification has been obtained
under the Weights and | ||||||
14 | Measures Act and pay a fee of $0.12
22 cents
per ton of | ||||||
15 | waste permanently disposed of.
| ||||||
16 | (2) If more than 100,000 cubic yards, but not more than | ||||||
17 | 150,000 cubic
yards, of non-hazardous waste is permanently | ||||||
18 | disposed of at a site in a
calendar year, the owner or | ||||||
19 | operator shall pay a fee of $3,825
$7,020 .
| ||||||
20 | (3) If more than 50,000 cubic yards, but not more than | ||||||
21 | 100,000 cubic
yards, of non-hazardous solid waste is | ||||||
22 | permanently disposed of at a site in a
calendar year, the | ||||||
23 | owner or operator shall pay a fee of $1,700
$3,120 .
| ||||||
24 | (4) If more than 10,000 cubic yards, but not more than | ||||||
25 | 50,000 cubic yards,
of non-hazardous solid waste is | ||||||
26 | permanently disposed of at a site in a calendar
year, the |
| |||||||
| |||||||
1 | owner or operator shall pay a fee of $530
$975 .
| ||||||
2 | (5) If not more than 10,000 cubic yards of | ||||||
3 | non-hazardous solid waste is
permanently disposed of at a | ||||||
4 | site in a calendar year, the owner or operator
shall pay a | ||||||
5 | fee of $110
$210 .
| ||||||
6 | (c) The fee under subsection (b) shall not apply to any of | ||||||
7 | the following:
| ||||||
8 | (1) Hazardous waste.
| ||||||
9 | (2) Pollution control waste.
| ||||||
10 | (3) Waste from recycling, reclamation, or reuse | ||||||
11 | processes that have been
approved by the Agency as being | ||||||
12 | designed to remove any contaminant from wastes
so as to | ||||||
13 | render the wastes reusable, provided that the process | ||||||
14 | renders at
least 50% of the waste reusable.
| ||||||
15 | (4) Non-hazardous solid waste that is received at a | ||||||
16 | sanitary landfill and
composted or recycled through a | ||||||
17 | process permitted by the Agency.
| ||||||
18 | (5) Any landfill that is permitted by the Agency to | ||||||
19 | receive only
demolition or construction debris or | ||||||
20 | landscape waste.
| ||||||
21 | (d) The Agency shall establish rules relating to the | ||||||
22 | collection of the
fees authorized by this Section. These rules | ||||||
23 | shall include, but not be
limited to the following:
| ||||||
24 | (1) Necessary records identifying the quantities of | ||||||
25 | solid waste received
or disposed.
| ||||||
26 | (2) The form and submission of reports to accompany the |
| |||||||
| |||||||
1 | payment of fees to
the Agency.
| ||||||
2 | (3) The time and manner of payment of fees to the | ||||||
3 | Agency, which payments
shall not be more often than | ||||||
4 | quarterly.
| ||||||
5 | (4) Procedures setting forth criteria establishing | ||||||
6 | when an owner or
operator may measure by weight or volume | ||||||
7 | during any given quarter or other fee
payment period.
| ||||||
8 | (e) Fees collected under this Section shall be in addition | ||||||
9 | to any other fees
collected under any other Section.
| ||||||
10 | (f) The Agency shall not refund any fee paid to it under | ||||||
11 | this Section.
| ||||||
12 | (g) Pursuant to appropriation, all moneys in the Subtitle D | ||||||
13 | Management
Fund shall be used by the Agency to administer the | ||||||
14 | United States Environmental
Protection Agency's Subtitle D | ||||||
15 | Program provided in Sections 4004 and 4010 of
the Resource | ||||||
16 | Conservation and Recovery Act of 1976 (P.L. 94-580) as it | ||||||
17 | relates
to a municipal solid waste landfill program in Illinois | ||||||
18 | and to fund a
delegation of inspecting, investigating, and | ||||||
19 | enforcement functions, within the
municipality only, pursuant | ||||||
20 | to subsection (r) of Section 4 of this Act to a
municipality | ||||||
21 | having a population of more than 1,000,000 inhabitants. The
| ||||||
22 | Agency shall execute a delegation agreement pursuant to | ||||||
23 | subsection (r) of
Section 4 of this Act with a municipality | ||||||
24 | having a population of more than
1,000,000 inhabitants within | ||||||
25 | 90 days of September 13, 1993 and shall on an
annual basis | ||||||
26 | distribute from
the Subtitle D Management Fund to that |
| |||||||
| |||||||
1 | municipality no less than $150,000. Pursuant to appropriation, | ||||||
2 | moneys in the Subtitle D Management Fund may also be used by | ||||||
3 | the Agency for activities conducted under Section 22.15a of | ||||||
4 | this Act.
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03; 94-272, eff. 7-19-05.)
| ||||||
6 | (415 ILCS 5/39.5) (from Ch. 111 1/2, par. 1039.5)
| ||||||
7 | Sec. 39.5. Clean Air Act Permit Program.
| ||||||
8 | 1. Definitions.
| ||||||
9 | For purposes of this Section:
| ||||||
10 | "Administrative permit amendment" means a permit revision | ||||||
11 | subject to
subsection 13 of this Section.
| ||||||
12 | "Affected source for acid deposition" means a source that | ||||||
13 | includes one or
more affected units under Title IV of the Clean | ||||||
14 | Air Act.
| ||||||
15 | "Affected States" for purposes of formal distribution of a | ||||||
16 | draft CAAPP permit
to other States for comments prior to | ||||||
17 | issuance, means all States:
| ||||||
18 | (1) Whose air quality may be affected by the source | ||||||
19 | covered by the draft
permit and that are contiguous to | ||||||
20 | Illinois; or
| ||||||
21 | (2) That are within 50 miles of the source.
| ||||||
22 | "Affected unit for acid deposition" shall have the meaning | ||||||
23 | given to the term
"affected unit" in the regulations | ||||||
24 | promulgated under Title IV of the Clean Air
Act.
| ||||||
25 | "Applicable Clean Air Act requirement" means all of the |
| |||||||
| |||||||
1 | following as they
apply to emissions units in a source | ||||||
2 | (including regulations that have been
promulgated or approved | ||||||
3 | by USEPA pursuant to the Clean Air Act which directly
impose | ||||||
4 | requirements upon a source and other such federal requirements | ||||||
5 | which
have been adopted by the Board. These may include | ||||||
6 | requirements and regulations
which have future effective | ||||||
7 | compliance dates. Requirements and regulations
will be exempt | ||||||
8 | if USEPA determines that such requirements need not be | ||||||
9 | contained
in a Title V permit):
| ||||||
10 | (1) Any standard or other requirement provided for in | ||||||
11 | the applicable state
implementation plan approved or | ||||||
12 | promulgated by USEPA under Title I of the Clean
Air Act | ||||||
13 | that implement the relevant requirements of the Clean Air | ||||||
14 | Act,
including any revisions to the state Implementation | ||||||
15 | Plan promulgated in 40 CFR
Part 52, Subparts A and O and | ||||||
16 | other subparts applicable to Illinois. For
purposes of this | ||||||
17 | subsection (1) of this definition, "any standard or other
| ||||||
18 | requirement" shall mean only such standards or | ||||||
19 | requirements directly
enforceable against an individual | ||||||
20 | source under the Clean Air Act.
| ||||||
21 | (2)(i) Any term or condition of any preconstruction | ||||||
22 | permits issued
pursuant to regulations approved or | ||||||
23 | promulgated by USEPA under Title I of the
Clean Air | ||||||
24 | Act, including Part C or D of the Clean Air Act.
| ||||||
25 | (ii) Any term or condition as required pursuant to | ||||||
26 | Section 39.5 of any
federally enforceable State |
| |||||||
| |||||||
1 | operating permit issued pursuant to regulations
| ||||||
2 | approved or promulgated by USEPA under Title I of the | ||||||
3 | Clean Air Act, including
Part C or D of the Clean Air | ||||||
4 | Act.
| ||||||
5 | (3) Any standard or other requirement under Section 111 | ||||||
6 | of the Clean Air
Act, including Section 111(d).
| ||||||
7 | (4) Any standard or other requirement under Section 112 | ||||||
8 | of the Clean Air
Act, including any requirement concerning | ||||||
9 | accident prevention under Section
112(r)(7) of the Clean | ||||||
10 | Air Act.
| ||||||
11 | (5) Any standard or other requirement of the acid rain | ||||||
12 | program under Title
IV of the Clean Air Act or the | ||||||
13 | regulations promulgated thereunder.
| ||||||
14 | (6) Any requirements established pursuant to Section | ||||||
15 | 504(b) or Section
114(a)(3) of the Clean Air Act.
| ||||||
16 | (7) Any standard or other requirement governing solid | ||||||
17 | waste incineration,
under Section 129 of the Clean Air Act.
| ||||||
18 | (8) Any standard or other requirement for consumer and | ||||||
19 | commercial
products, under Section 183(e) of the Clean Air | ||||||
20 | Act.
| ||||||
21 | (9) Any standard or other requirement for tank vessels, | ||||||
22 | under Section
183(f) of the Clean Air Act.
| ||||||
23 | (10) Any standard or other requirement of the program | ||||||
24 | to control air
pollution from Outer Continental Shelf | ||||||
25 | sources, under Section 328 of the Clean
Air Act.
| ||||||
26 | (11) Any standard or other requirement of the |
| |||||||
| |||||||
1 | regulations promulgated to
protect stratospheric ozone | ||||||
2 | under Title VI of the Clean Air Act, unless USEPA
has | ||||||
3 | determined that such requirements need not be contained in | ||||||
4 | a Title V
permit.
| ||||||
5 | (12) Any national ambient air quality standard or | ||||||
6 | increment or visibility
requirement under Part C of Title I | ||||||
7 | of the Clean Air Act, but only as it would
apply to | ||||||
8 | temporary sources permitted pursuant to Section 504(e) of | ||||||
9 | the Clean
Air Act.
| ||||||
10 | "Applicable requirement" means all applicable Clean Air | ||||||
11 | Act requirements and
any other standard, limitation, or other | ||||||
12 | requirement contained in this Act or
regulations promulgated | ||||||
13 | under this Act as applicable to sources of air
contaminants | ||||||
14 | (including requirements that have future effective compliance
| ||||||
15 | dates).
| ||||||
16 | "CAAPP" means the Clean Air Act Permit Program, developed | ||||||
17 | pursuant to Title V
of the Clean Air Act.
| ||||||
18 | "CAAPP application" means an application for a CAAPP | ||||||
19 | permit.
| ||||||
20 | "CAAPP Permit" or "permit" (unless the context suggests | ||||||
21 | otherwise) means any
permit issued, renewed, amended, modified | ||||||
22 | or revised pursuant to Title V of the
Clean Air Act.
| ||||||
23 | "CAAPP source" means any source for which the owner or | ||||||
24 | operator is required
to obtain a CAAPP permit pursuant to | ||||||
25 | subsection 2 of this Section.
| ||||||
26 | "Clean Air Act" means the Clean Air Act, as now and |
| |||||||
| |||||||
1 | hereafter amended, 42
U.S.C. 7401, et seq.
| ||||||
2 | "Designated representative" shall have the meaning given | ||||||
3 | to it in Section
402(26) of the Clean Air Act and the | ||||||
4 | regulations promulgated thereunder which
states that the term | ||||||
5 | 'designated representative' shall mean a responsible
person or | ||||||
6 | official authorized by the owner or operator of a unit to | ||||||
7 | represent
the owner or operator in all matters pertaining to | ||||||
8 | the holding, transfer, or
disposition of allowances allocated | ||||||
9 | to a unit, and the submission of and
compliance with permits, | ||||||
10 | permit applications, and compliance plans for the
unit.
| ||||||
11 | "Draft CAAPP permit" means the version of a CAAPP permit | ||||||
12 | for which public
notice and an opportunity for public comment | ||||||
13 | and hearing is offered by the
Agency.
| ||||||
14 | "Effective date of the CAAPP" means the date that USEPA | ||||||
15 | approves Illinois'
CAAPP.
| ||||||
16 | "Emission unit" means any part or activity of a stationary | ||||||
17 | source that emits
or has the potential to emit any air | ||||||
18 | pollutant. This term is not meant to
alter or affect the | ||||||
19 | definition of the term "unit" for purposes of Title IV of
the | ||||||
20 | Clean Air Act.
| ||||||
21 | "Federally enforceable" means enforceable by USEPA.
| ||||||
22 | "Final permit action" means the Agency's granting with | ||||||
23 | conditions, refusal to
grant, renewal of, or revision of a | ||||||
24 | CAAPP permit, the Agency's determination of
incompleteness of a | ||||||
25 | submitted CAAPP application, or the Agency's failure to act
on | ||||||
26 | an application for a permit, permit renewal, or permit revision |
| |||||||
| |||||||
1 | within the
time specified in paragraph 5(j), subsection 13, or | ||||||
2 | subsection 14 of this
Section.
| ||||||
3 | "General permit" means a permit issued to cover numerous | ||||||
4 | similar sources in
accordance with subsection 11 of this | ||||||
5 | Section.
| ||||||
6 | "Major source" means a source for which emissions of one or | ||||||
7 | more air
pollutants meet the criteria for major status pursuant | ||||||
8 | to paragraph 2(c) of
this Section.
| ||||||
9 | "Maximum achievable control technology" or "MACT" means | ||||||
10 | the maximum degree of
reductions in emissions deemed achievable | ||||||
11 | under Section 112 of the Clean
Air Act.
| ||||||
12 | "Owner or operator" means any person who owns, leases, | ||||||
13 | operates, controls, or
supervises a stationary source.
| ||||||
14 | "Permit modification" means a revision to a CAAPP permit | ||||||
15 | that cannot be
accomplished under the provisions for | ||||||
16 | administrative permit amendments under
subsection 13 of this
| ||||||
17 | Section.
| ||||||
18 | "Permit revision" means a permit modification or | ||||||
19 | administrative permit
amendment.
| ||||||
20 | "Phase II" means the period of the national acid rain | ||||||
21 | program,
established under Title IV of the Clean Air Act, | ||||||
22 | beginning January 1,
2000, and continuing thereafter.
| ||||||
23 | "Phase II acid rain permit" means the portion of a CAAPP | ||||||
24 | permit issued,
renewed, modified, or revised by the Agency | ||||||
25 | during Phase II for an affected
source for acid deposition.
| ||||||
26 | "Potential to emit" means the maximum capacity of a |
| |||||||
| |||||||
1 | stationary source to emit
any air pollutant under its physical | ||||||
2 | and operational design. Any physical or
operational limitation | ||||||
3 | on the capacity of a source to emit an air pollutant,
including | ||||||
4 | air pollution control equipment and restrictions on hours of
| ||||||
5 | operation or on the type or amount of material combusted, | ||||||
6 | stored, or processed,
shall be treated as part of its design if | ||||||
7 | the limitation is enforceable by
USEPA. This definition does | ||||||
8 | not alter or affect the use of this term for any
other purposes | ||||||
9 | under the Clean Air Act, or the term "capacity factor" as used
| ||||||
10 | in Title IV of the Clean Air Act or the regulations promulgated | ||||||
11 | thereunder.
| ||||||
12 | "Preconstruction Permit" or "Construction Permit" means a | ||||||
13 | permit which is to
be obtained prior to commencing or beginning | ||||||
14 | actual construction or
modification of a source or emissions | ||||||
15 | unit.
| ||||||
16 | "Proposed CAAPP permit" means the version of a CAAPP permit | ||||||
17 | that the Agency
proposes to issue and forwards to USEPA for | ||||||
18 | review in compliance with
applicable requirements of the Act | ||||||
19 | and regulations promulgated thereunder.
| ||||||
20 | "Regulated air pollutant" means the following:
| ||||||
21 | (1) Nitrogen oxides (NOx) or any volatile organic | ||||||
22 | compound.
| ||||||
23 | (2) Any pollutant for which a national ambient air | ||||||
24 | quality standard has
been promulgated.
| ||||||
25 | (3) Any pollutant that is subject to any standard | ||||||
26 | promulgated under
Section 111 of the Clean Air Act.
|
| |||||||
| |||||||
1 | (4) Any Class I or II substance subject to a standard | ||||||
2 | promulgated
under or established by Title VI of the Clean | ||||||
3 | Air Act.
| ||||||
4 | (5) Any pollutant subject to a standard promulgated | ||||||
5 | under Section 112 or
other requirements established under | ||||||
6 | Section 112 of the Clean Air Act,
including Sections | ||||||
7 | 112(g), (j) and (r).
| ||||||
8 | (i) Any pollutant subject to requirements under | ||||||
9 | Section 112(j) of the
Clean Air Act. Any pollutant | ||||||
10 | listed under Section 112(b) for which the subject
| ||||||
11 | source would be major shall be considered to be | ||||||
12 | regulated 18 months after the
date on which USEPA was | ||||||
13 | required to promulgate an applicable standard pursuant
| ||||||
14 | to Section 112(e) of the Clean Air Act, if USEPA fails | ||||||
15 | to promulgate such
standard.
| ||||||
16 | (ii) Any pollutant for which the requirements of | ||||||
17 | Section 112(g)(2) of
the Clean Air Act have been met, | ||||||
18 | but only with respect to the individual source
subject | ||||||
19 | to Section 112(g)(2) requirement.
| ||||||
20 | "Renewal" means the process by which a permit is reissued | ||||||
21 | at the end of its
term.
| ||||||
22 | "Responsible official" means one of the following:
| ||||||
23 | (1) For a corporation: a president, secretary, | ||||||
24 | treasurer, or
vice-president of the corporation in charge | ||||||
25 | of a principal business function,
or any other person who | ||||||
26 | performs similar policy or decision-making functions
for |
| |||||||
| |||||||
1 | the corporation, or a duly authorized representative of | ||||||
2 | such person if the
representative is responsible for the | ||||||
3 | overall operation of one or more
manufacturing, | ||||||
4 | production, or operating facilities applying for or | ||||||
5 | subject to a
permit and either (i) the facilities employ | ||||||
6 | more than 250 persons or have gross
annual sales or | ||||||
7 | expenditures exceeding $25 million (in second quarter 1980
| ||||||
8 | dollars), or (ii) the delegation of authority to such | ||||||
9 | representative is
approved in advance by the Agency.
| ||||||
10 | (2) For a partnership or sole proprietorship: a general | ||||||
11 | partner or the
proprietor, respectively, or in the case of | ||||||
12 | a partnership in which all of the
partners are | ||||||
13 | corporations, a duly authorized representative of the | ||||||
14 | partnership
if the representative is responsible for the | ||||||
15 | overall operation of one or more
manufacturing, | ||||||
16 | production, or operating facilities applying for or | ||||||
17 | subject to a
permit and either (i) the facilities employ | ||||||
18 | more than 250 persons or have gross
annual sales or | ||||||
19 | expenditures exceeding $25 million (in second quarter 1980
| ||||||
20 | dollars), or (ii) the delegation of authority to such | ||||||
21 | representative is
approved in advance by the Agency.
| ||||||
22 | (3) For a municipality, State, Federal, or other public | ||||||
23 | agency: either a
principal executive officer or ranking | ||||||
24 | elected official. For the purposes of
this part, a | ||||||
25 | principal executive officer of a Federal agency includes | ||||||
26 | the chief
executive officer having responsibility for the |
| |||||||
| |||||||
1 | overall operations of a
principal geographic unit of the | ||||||
2 | agency (e.g., a
Regional Administrator of USEPA).
| ||||||
3 | (4) For affected sources for acid deposition:
| ||||||
4 | (i) The designated representative shall be the | ||||||
5 | "responsible official" in
so far as actions, | ||||||
6 | standards, requirements, or prohibitions under Title | ||||||
7 | IV of
the Clean Air Act or the regulations promulgated | ||||||
8 | thereunder are concerned.
| ||||||
9 | (ii) The designated representative may also be the | ||||||
10 | "responsible
official" for any other purposes with | ||||||
11 | respect to air pollution control.
| ||||||
12 | "Section 502(b)(10) changes" means changes that contravene | ||||||
13 | express permit
terms. "Section 502(b)(10) changes" do not | ||||||
14 | include changes that would violate
applicable
requirements or | ||||||
15 | contravene federally enforceable permit terms or conditions
| ||||||
16 | that are monitoring (including test methods), recordkeeping, | ||||||
17 | reporting, or
compliance certification requirements.
| ||||||
18 | "Solid waste incineration unit" means a distinct operating | ||||||
19 | unit of any
facility which combusts any solid waste material | ||||||
20 | from commercial or industrial
establishments or the general | ||||||
21 | public (including single and multiple residences,
hotels, and | ||||||
22 | motels). The term does not include incinerators or other units
| ||||||
23 | required to have a permit under Section 3005 of the Solid Waste | ||||||
24 | Disposal Act.
The term also does not include (A) materials | ||||||
25 | recovery facilities (including
primary or secondary smelters) | ||||||
26 | which combust waste for the primary purpose of
recovering |
| |||||||
| |||||||
1 | metals, (B) qualifying small power production facilities, as | ||||||
2 | defined
in Section 3(17)(C) of the Federal Power Act (16 U.S.C. | ||||||
3 | 769(17)(C)), or
qualifying cogeneration facilities, as defined | ||||||
4 | in Section 3(18)(B) of the
Federal Power Act (16 U.S.C. | ||||||
5 | 796(18)(B)), which burn homogeneous waste (such as
units which | ||||||
6 | burn tires or used oil, but not including refuse-derived fuel) | ||||||
7 | for
the production of electric energy or in the case of | ||||||
8 | qualifying cogeneration
facilities which burn homogeneous | ||||||
9 | waste for the production of electric energy
and steam or forms | ||||||
10 | of useful energy (such as heat) which are used for
industrial, | ||||||
11 | commercial, heating or cooling purposes, or (C) air curtain
| ||||||
12 | incinerators provided that such incinerators only burn wood | ||||||
13 | wastes, yard waste
and clean lumber and that such air curtain | ||||||
14 | incinerators comply with opacity
limitations to be established | ||||||
15 | by the USEPA by rule.
| ||||||
16 | "Source" means any stationary source (or any group of | ||||||
17 | stationary sources)
that
are located on one or more contiguous | ||||||
18 | or adjacent properties
that are under
common control of the | ||||||
19 | same person (or persons under common control) and
that
belongs | ||||||
20 | to
a single major industrial grouping. For the purposes of | ||||||
21 | defining "source," a
stationary source or group of stationary | ||||||
22 | sources shall be considered part of a
single major industrial | ||||||
23 | grouping if all of the pollutant emitting
activities at such
| ||||||
24 | source or group of sources located on contiguous or adjacent | ||||||
25 | properties
and under common control belong to the
same Major | ||||||
26 | Group (i.e., all have the same two-digit code) as described in |
| |||||||
| |||||||
1 | the
Standard Industrial Classification Manual, 1987, or such | ||||||
2 | pollutant emitting
activities at a stationary source (or group | ||||||
3 | of stationary sources) located on
contiguous or adjacent | ||||||
4 | properties and under common control constitute a
support
| ||||||
5 | facility. The determination as to whether any group of | ||||||
6 | stationary sources are
located on contiguous or adjacent | ||||||
7 | properties, and/or are under common control,
and/or
whether the | ||||||
8 | pollutant emitting activities at such group of stationary | ||||||
9 | sources
constitute a support facility shall be made on a case | ||||||
10 | by case basis.
| ||||||
11 | "Stationary source" means any building, structure, | ||||||
12 | facility, or installation
that emits or may emit any regulated | ||||||
13 | air pollutant or any pollutant listed
under Section 112(b) of | ||||||
14 | the Clean Air Act.
| ||||||
15 | "Support facility" means any stationary source (or group of | ||||||
16 | stationary
sources) that conveys, stores, or otherwise assists | ||||||
17 | to a significant extent in
the production of a principal | ||||||
18 | product at another stationary source (or group of
stationary | ||||||
19 | sources). A support facility shall be considered to be part of | ||||||
20 | the
same source as the stationary source (or group of | ||||||
21 | stationary sources) that it
supports regardless of the 2-digit | ||||||
22 | Standard Industrial Classification code for
the support | ||||||
23 | facility.
| ||||||
24 | "USEPA" means the Administrator of the United States | ||||||
25 | Environmental Protection
Agency (USEPA) or a person designated | ||||||
26 | by the Administrator.
|
| |||||||
| |||||||
1 | 1.1. Exclusion From the CAAPP.
| ||||||
2 | a. An owner or operator of a source which determines | ||||||
3 | that the source could
be excluded from the CAAPP may seek | ||||||
4 | such exclusion prior to the date that the
CAAPP application | ||||||
5 | for the source is due but in no case later than 9 months
| ||||||
6 | after the effective date of the CAAPP through the | ||||||
7 | imposition of federally
enforceable conditions limiting | ||||||
8 | the "potential to emit" of the source to a
level below the | ||||||
9 | major source threshold for that source as described in
| ||||||
10 | paragraph 2(c) of this Section, within a State operating | ||||||
11 | permit issued pursuant
to Section 39(a) of this Act. After | ||||||
12 | such date, an exclusion from the CAAPP may
be sought under | ||||||
13 | paragraph 3(c) of this Section.
| ||||||
14 | b. An owner or operator of a source seeking exclusion | ||||||
15 | from the CAAPP
pursuant to paragraph (a) of this subsection | ||||||
16 | must submit a permit application
consistent with the | ||||||
17 | existing State permit program which specifically requests
| ||||||
18 | such exclusion through the imposition of such federally | ||||||
19 | enforceable conditions.
| ||||||
20 | c. Upon such request, if the Agency determines that the | ||||||
21 | owner or operator
of a source has met the requirements for | ||||||
22 | exclusion pursuant to paragraph (a) of
this subsection and | ||||||
23 | other applicable requirements for permit issuance under
| ||||||
24 | Section 39(a) of this Act, the Agency shall issue a State | ||||||
25 | operating permit for
such source under Section 39(a) of |
| |||||||
| |||||||
1 | this Act, as amended, and regulations
promulgated | ||||||
2 | thereunder with federally enforceable conditions limiting | ||||||
3 | the
"potential to emit" of the source to a level below the | ||||||
4 | major source threshold
for that source as described in | ||||||
5 | paragraph 2(c) of this Section.
| ||||||
6 | d. The Agency shall provide an owner or operator of a | ||||||
7 | source which may be
excluded from the CAAPP pursuant to | ||||||
8 | this subsection with reasonable notice that
the owner or | ||||||
9 | operator may seek such exclusion.
| ||||||
10 | e. The Agency shall provide such sources with the | ||||||
11 | necessary permit
application forms.
| ||||||
12 | 2. Applicability.
| ||||||
13 | a. Sources subject to this Section shall include:
| ||||||
14 | i. Any major source as defined in paragraph (c) of | ||||||
15 | this subsection.
| ||||||
16 | ii. Any source subject to a standard or other | ||||||
17 | requirements promulgated
under Section 111 (New Source | ||||||
18 | Performance Standards) or Section 112 (Hazardous
Air | ||||||
19 | Pollutants) of the Clean Air Act, except that a source | ||||||
20 | is not required to
obtain a permit solely because it is | ||||||
21 | subject to regulations or requirements
under Section | ||||||
22 | 112(r) of the Clean Air Act.
| ||||||
23 | iii. Any affected source for acid deposition, as | ||||||
24 | defined in subsection 1
of this Section.
| ||||||
25 | iv. Any other source subject to this Section under |
| |||||||
| |||||||
1 | the Clean Air Act or
regulations promulgated | ||||||
2 | thereunder, or applicable Board regulations.
| ||||||
3 | b. Sources exempted from this Section shall include:
| ||||||
4 | i. All sources listed in paragraph (a) of this | ||||||
5 | subsection which are not
major sources, affected | ||||||
6 | sources for acid deposition or solid waste | ||||||
7 | incineration
units required to obtain a permit | ||||||
8 | pursuant to Section 129(e) of the Clean Air
Act, until | ||||||
9 | the source is required to obtain a CAAPP permit | ||||||
10 | pursuant to the
Clean Air Act or regulations | ||||||
11 | promulgated thereunder.
| ||||||
12 | ii. Nonmajor sources subject to a standard or other | ||||||
13 | requirements
subsequently promulgated by USEPA under | ||||||
14 | Section 111 or 112 of the Clean Air Act
which are | ||||||
15 | determined by USEPA to be exempt at the time a new | ||||||
16 | standard is
promulgated.
| ||||||
17 | iii. All sources and source categories that would | ||||||
18 | be required to obtain
a permit solely because they are | ||||||
19 | subject to Part 60, Subpart AAA - Standards of
| ||||||
20 | Performance for New Residential Wood Heaters (40 CFR | ||||||
21 | Part 60).
| ||||||
22 | iv. All sources and source categories that would be | ||||||
23 | required to obtain a
permit solely because they are | ||||||
24 | subject to Part 61, Subpart M - National
Emission | ||||||
25 | Standard for Hazardous Air Pollutants for Asbestos, | ||||||
26 | Section 61.145 (40
CFR Part 61).
|
| |||||||
| |||||||
1 | v. Any other source categories exempted by USEPA | ||||||
2 | regulations pursuant to
Section 502(a) of the Clean Air | ||||||
3 | Act.
| ||||||
4 | c. For purposes of this Section the term "major source" | ||||||
5 | means any source
that is:
| ||||||
6 | i. A major source under Section 112 of the Clean | ||||||
7 | Air Act, which is
defined as:
| ||||||
8 | A. For pollutants other than radionuclides, | ||||||
9 | any stationary source
or group of stationary | ||||||
10 | sources located within a contiguous area and under
| ||||||
11 | common control that emits or has the potential to | ||||||
12 | emit, in the aggregate, 10
tons per year (tpy) or | ||||||
13 | more of any hazardous air pollutant which has been
| ||||||
14 | listed pursuant to Section 112(b) of the Clean Air | ||||||
15 | Act, 25 tpy or more of any
combination of such | ||||||
16 | hazardous air pollutants, or such lesser quantity | ||||||
17 | as USEPA
may establish by rule. Notwithstanding | ||||||
18 | the preceding sentence, emissions from
any oil or | ||||||
19 | gas exploration or production well (with its | ||||||
20 | associated equipment)
and emissions from any | ||||||
21 | pipeline compressor or pump station shall not be
| ||||||
22 | aggregated with emissions from other similar | ||||||
23 | units, whether or not such units
are in a | ||||||
24 | contiguous area or under common control, to | ||||||
25 | determine whether such
stations are major sources.
| ||||||
26 | B. For radionuclides, "major source" shall |
| |||||||
| |||||||
1 | have the meaning specified
by the USEPA by rule.
| ||||||
2 | ii. A major stationary source of air pollutants, as | ||||||
3 | defined in Section
302 of the Clean Air Act, that | ||||||
4 | directly emits or has the potential to emit, 100
tpy or | ||||||
5 | more of any air pollutant (including any major source | ||||||
6 | of fugitive
emissions of any such pollutant, as | ||||||
7 | determined by rule by USEPA). For purposes
of this | ||||||
8 | subsection, "fugitive emissions" means those emissions | ||||||
9 | which could not
reasonably pass through a stack, | ||||||
10 | chimney, vent, or other
functionally-equivalent | ||||||
11 | opening. The fugitive emissions of a stationary source
| ||||||
12 | shall not be considered in determining whether it is a | ||||||
13 | major stationary source
for the purposes of Section | ||||||
14 | 302(j) of the Clean Air Act, unless the source
belongs | ||||||
15 | to one of the following categories of stationary | ||||||
16 | source:
| ||||||
17 | A. Coal cleaning plants (with thermal dryers).
| ||||||
18 | B. Kraft pulp mills.
| ||||||
19 | C. Portland cement plants.
| ||||||
20 | D. Primary zinc smelters.
| ||||||
21 | E. Iron and steel mills.
| ||||||
22 | F. Primary aluminum ore reduction plants.
| ||||||
23 | G. Primary copper smelters.
| ||||||
24 | H. Municipal incinerators capable of charging | ||||||
25 | more than 250 tons of
refuse per day.
| ||||||
26 | I. Hydrofluoric, sulfuric, or nitric acid |
| |||||||
| |||||||
1 | plants.
| ||||||
2 | J. Petroleum refineries.
| ||||||
3 | K. Lime plants.
| ||||||
4 | L. Phosphate rock processing plants.
| ||||||
5 | M. Coke oven batteries.
| ||||||
6 | N. Sulfur recovery plants.
| ||||||
7 | O. Carbon black plants (furnace
process).
| ||||||
8 | P. Primary lead smelters.
| ||||||
9 | Q. Fuel conversion plants.
| ||||||
10 | R. Sintering plants.
| ||||||
11 | S. Secondary metal production plants.
| ||||||
12 | T. Chemical process plants.
| ||||||
13 | U. Fossil-fuel boilers (or combination | ||||||
14 | thereof) totaling more than 250
million British | ||||||
15 | thermal units per hour heat input.
| ||||||
16 | V. Petroleum storage and transfer units with a | ||||||
17 | total storage capacity
exceeding 300,000 barrels.
| ||||||
18 | W. Taconite ore processing plants.
| ||||||
19 | X. Glass fiber processing plants.
| ||||||
20 | Y. Charcoal production plants.
| ||||||
21 | Z. Fossil fuel-fired steam electric plants of | ||||||
22 | more than 250 million
British thermal units per | ||||||
23 | hour heat input.
| ||||||
24 | AA. All other stationary source categories, | ||||||
25 | which as of August 7, 1980 are being regulated by a | ||||||
26 | standard
promulgated under Section 111 or 112 of |
| |||||||
| |||||||
1 | the Clean Air Act.
| ||||||
2 | BB. Any other stationary source category | ||||||
3 | designated by USEPA by rule.
| ||||||
4 | iii. A major stationary source as defined in part D | ||||||
5 | of Title I of the
Clean Air Act including:
| ||||||
6 | A. For ozone nonattainment areas, sources with | ||||||
7 | the potential to emit
100 tons or more per year of | ||||||
8 | volatile organic compounds or oxides of nitrogen
| ||||||
9 | in areas classified as "marginal" or "moderate", | ||||||
10 | 50 tons or more per year in
areas classified as | ||||||
11 | "serious", 25 tons or more per year in areas | ||||||
12 | classified as
"severe", and 10 tons or more per | ||||||
13 | year in areas classified as "extreme"; except
that | ||||||
14 | the references in this clause to 100, 50, 25, and | ||||||
15 | 10 tons per year of
nitrogen oxides shall not apply | ||||||
16 | with respect to any source for which USEPA has
made | ||||||
17 | a finding, under Section 182(f)(1) or (2) of the | ||||||
18 | Clean Air Act, that
requirements otherwise | ||||||
19 | applicable to such source under Section 182(f) of | ||||||
20 | the
Clean Air Act do not apply. Such sources shall | ||||||
21 | remain subject to the major
source criteria of | ||||||
22 | paragraph 2(c)(ii) of this subsection.
| ||||||
23 | B. For ozone transport regions established | ||||||
24 | pursuant to Section 184 of
the Clean Air Act, | ||||||
25 | sources with the potential to emit 50 tons or more | ||||||
26 | per year
of volatile organic compounds (VOCs).
|
| |||||||
| |||||||
1 | C. For carbon monoxide nonattainment areas (1) | ||||||
2 | that are classified as
"serious", and (2) in which | ||||||
3 | stationary sources contribute significantly to
| ||||||
4 | carbon monoxide levels as determined under rules | ||||||
5 | issued by USEPA, sources with
the potential to emit | ||||||
6 | 50 tons or more per year of carbon monoxide.
| ||||||
7 | D. For particulate matter (PM-10) | ||||||
8 | nonattainment areas classified as
"serious", | ||||||
9 | sources with the potential to emit 70 tons or more | ||||||
10 | per year of
PM-10.
| ||||||
11 | 3. Agency Authority To Issue CAAPP Permits and Federally | ||||||
12 | Enforceable State
Operating Permits.
| ||||||
13 | a. The Agency shall issue CAAPP permits under this | ||||||
14 | Section consistent with
the Clean Air Act and regulations | ||||||
15 | promulgated thereunder and this Act and
regulations | ||||||
16 | promulgated thereunder.
| ||||||
17 | b. The Agency shall issue CAAPP permits for fixed terms | ||||||
18 | of 5 years, except
CAAPP permits issued for solid waste | ||||||
19 | incineration units combusting municipal
waste which shall | ||||||
20 | be issued for fixed terms of 12 years and except CAAPP
| ||||||
21 | permits for affected sources for acid deposition which | ||||||
22 | shall be issued for
initial terms to expire on December 31, | ||||||
23 | 1999, and for fixed terms of 5 years
thereafter.
| ||||||
24 | c. The Agency shall have the authority to issue a State | ||||||
25 | operating permit
for a source under Section 39(a) of this |
| |||||||
| |||||||
1 | Act, as amended, and regulations
promulgated thereunder, | ||||||
2 | which includes federally enforceable conditions
limiting | ||||||
3 | the "potential to emit" of the source to a level below the | ||||||
4 | major
source threshold for that source as described in | ||||||
5 | paragraph 2(c) of this
Section, thereby excluding the | ||||||
6 | source from the CAAPP, when requested by the
applicant | ||||||
7 | pursuant to paragraph 5(u) of this Section. The public | ||||||
8 | notice
requirements of this Section applicable to CAAPP | ||||||
9 | permits shall also apply to
the initial issuance of permits | ||||||
10 | under this paragraph.
| ||||||
11 | d. For purposes of this Act, a permit issued by USEPA | ||||||
12 | under Section 505 of
the Clean Air Act, as now and | ||||||
13 | hereafter amended, shall be deemed to be a
permit issued by | ||||||
14 | the Agency pursuant to Section 39.5 of this Act.
| ||||||
15 | 4. Transition.
| ||||||
16 | a. An owner or operator of a CAAPP source shall not be | ||||||
17 | required to renew
an existing State operating permit for | ||||||
18 | any emission unit at such CAAPP source
once a CAAPP | ||||||
19 | application timely submitted prior to expiration of the | ||||||
20 | State
operating permit has been deemed complete. For | ||||||
21 | purposes other than permit
renewal, the obligation upon the | ||||||
22 | owner or operator of a CAAPP source to obtain
a State | ||||||
23 | operating permit is not removed upon submittal of the | ||||||
24 | complete CAAPP
permit application. An owner or operator of | ||||||
25 | a CAAPP source seeking to make a
modification to a source |
| |||||||
| |||||||
1 | prior to the issuance of its CAAPP permit shall be
required | ||||||
2 | to obtain a construction and/or operating permit as | ||||||
3 | required for such
modification in accordance with the State | ||||||
4 | permit program under Section 39(a) of
this Act, as amended, | ||||||
5 | and regulations promulgated thereunder. The application
| ||||||
6 | for such construction and/or operating permit shall be | ||||||
7 | considered an amendment
to the CAAPP application submitted | ||||||
8 | for such source.
| ||||||
9 | b. An owner or operator of a CAAPP source shall | ||||||
10 | continue to operate in
accordance with the terms and | ||||||
11 | conditions of its applicable State operating
permit | ||||||
12 | notwithstanding the expiration of the State operating | ||||||
13 | permit until the
source's CAAPP permit has been issued.
| ||||||
14 | c. An owner or operator of a CAAPP source shall submit | ||||||
15 | its initial CAAPP
application to the Agency no later than | ||||||
16 | 12 months after the effective date of
the CAAPP. The Agency | ||||||
17 | may request submittal of initial CAAPP applications
during | ||||||
18 | this 12 month period according to a schedule set forth | ||||||
19 | within Agency
procedures, however, in no event shall the | ||||||
20 | Agency require such submittal
earlier than 3 months after | ||||||
21 | such effective date of the CAAPP. An owner or
operator may | ||||||
22 | voluntarily submit its initial CAAPP application prior to | ||||||
23 | the date
required within this paragraph or applicable | ||||||
24 | procedures, if any, subsequent to
the date the Agency | ||||||
25 | submits the CAAPP to USEPA for approval.
| ||||||
26 | d. The Agency shall act on initial CAAPP applications |
| |||||||
| |||||||
1 | in accordance with
subsection 5(j) of this Section.
| ||||||
2 | e. For purposes of this Section, the term "initial | ||||||
3 | CAAPP application"
shall mean the first CAAPP application | ||||||
4 | submitted for a source existing as of
the effective date of | ||||||
5 | the CAAPP.
| ||||||
6 | f. The Agency shall provide owners or operators of | ||||||
7 | CAAPP sources with at
least three months advance notice of | ||||||
8 | the date on which their applications are
required to be | ||||||
9 | submitted. In determining which sources shall be subject to
| ||||||
10 | early submittal, the Agency shall include among its | ||||||
11 | considerations the
complexity of the permit application, | ||||||
12 | and the burden that such early submittal
will have on the | ||||||
13 | source.
| ||||||
14 | g. The CAAPP permit shall upon becoming effective | ||||||
15 | supersede the State
operating permit.
| ||||||
16 | h. The Agency shall have the authority to adopt | ||||||
17 | procedural rules, in
accordance with the Illinois | ||||||
18 | Administrative Procedure Act, as the Agency deems
| ||||||
19 | necessary, to implement this subsection.
| ||||||
20 | 5. Applications and Completeness.
| ||||||
21 | a. An owner or operator of a CAAPP source shall submit | ||||||
22 | its complete CAAPP
application consistent with the Act and | ||||||
23 | applicable regulations.
| ||||||
24 | b. An owner or operator of a CAAPP source shall submit | ||||||
25 | a single complete
CAAPP application covering all emission |
| |||||||
| |||||||
1 | units at that source.
| ||||||
2 | c. To be deemed complete, a CAAPP application must | ||||||
3 | provide all
information, as requested in Agency | ||||||
4 | application forms, sufficient to evaluate
the subject | ||||||
5 | source and its application and to determine all applicable
| ||||||
6 | requirements, pursuant to the Clean Air Act, and | ||||||
7 | regulations thereunder, this
Act and regulations | ||||||
8 | thereunder. Such Agency application forms shall be
| ||||||
9 | finalized and made available prior to the date on which any | ||||||
10 | CAAPP application
is required.
| ||||||
11 | d. An owner or operator of a CAAPP source shall submit, | ||||||
12 | as part of its
complete CAAPP application, a compliance | ||||||
13 | plan, including a schedule of
compliance, describing how | ||||||
14 | each emission unit will comply with all applicable
| ||||||
15 | requirements. Any such schedule of compliance shall be | ||||||
16 | supplemental to, and
shall not sanction noncompliance | ||||||
17 | with, the applicable requirements on which it
is based.
| ||||||
18 | e. Each submitted CAAPP application shall be certified | ||||||
19 | for truth,
accuracy, and completeness by a responsible | ||||||
20 | official in accordance with
applicable regulations.
| ||||||
21 | f. The Agency shall provide notice to a CAAPP applicant | ||||||
22 | as to whether a
submitted CAAPP application is complete. | ||||||
23 | Unless the Agency notifies the
applicant of | ||||||
24 | incompleteness, within 60 days of receipt of the CAAPP
| ||||||
25 | application, the application shall be deemed complete. The | ||||||
26 | Agency may request
additional information as needed to make |
| |||||||
| |||||||
1 | the completeness determination. The
Agency may to the | ||||||
2 | extent practicable provide the applicant with a reasonable
| ||||||
3 | opportunity to correct deficiencies prior to a final | ||||||
4 | determination of
completeness.
| ||||||
5 | g. If after the determination of completeness the | ||||||
6 | Agency finds that
additional information is necessary to | ||||||
7 | evaluate or take final action on the
CAAPP application, the | ||||||
8 | Agency may request in writing such information from the
| ||||||
9 | source with a reasonable deadline for response.
| ||||||
10 | h. If the owner or operator of a CAAPP source submits a | ||||||
11 | timely and
complete CAAPP application, the source's | ||||||
12 | failure to have a CAAPP permit shall
not be a violation of | ||||||
13 | this Section until the Agency takes final action on the
| ||||||
14 | submitted CAAPP application, provided, however, where the | ||||||
15 | applicant fails to
submit the requested information under | ||||||
16 | paragraph 5(g) within the time frame
specified by the | ||||||
17 | Agency, this protection shall cease to apply.
| ||||||
18 | i. Any applicant who fails to submit any relevant facts | ||||||
19 | necessary to
evaluate the subject source and its CAAPP | ||||||
20 | application or who has submitted
incorrect information in a | ||||||
21 | CAAPP application shall, upon becoming aware of such
| ||||||
22 | failure or incorrect submittal, submit supplementary facts | ||||||
23 | or correct
information to the Agency. In addition, an | ||||||
24 | applicant shall provide to the
Agency additional | ||||||
25 | information as necessary to address any requirements which
| ||||||
26 | become applicable to the source subsequent to the date the |
| |||||||
| |||||||
1 | applicant submitted
its complete CAAPP application but | ||||||
2 | prior to release of the draft CAAPP permit.
| ||||||
3 | j. The Agency shall issue or deny the CAAPP permit | ||||||
4 | within 18 months after
the date of receipt of the complete | ||||||
5 | CAAPP application, with the following
exceptions: (i) | ||||||
6 | permits for affected sources for acid deposition shall be
| ||||||
7 | issued or denied within 6 months after receipt of a | ||||||
8 | complete application in
accordance with subsection 17 of | ||||||
9 | this Section; (ii) the Agency shall act on
initial CAAPP | ||||||
10 | applications within 24 months after the date of receipt of | ||||||
11 | the
complete CAAPP application; (iii) the Agency shall act | ||||||
12 | on complete applications
containing early reduction | ||||||
13 | demonstrations under Section 112(i)(5) of the Clean
Air Act | ||||||
14 | within 9 months of receipt of the complete CAAPP | ||||||
15 | application.
| ||||||
16 | Where the Agency does not take final action on the | ||||||
17 | permit within the
required time period, the permit shall | ||||||
18 | not be deemed issued; rather, the
failure to act shall be | ||||||
19 | treated as a final permit action for purposes of
judicial | ||||||
20 | review pursuant to Sections 40.2 and 41 of this Act.
| ||||||
21 | k. The submittal of a complete CAAPP application shall | ||||||
22 | not affect the
requirement that any source have a | ||||||
23 | preconstruction permit under Title I of the
Clean Air Act.
| ||||||
24 | l. Unless a timely and complete renewal application has | ||||||
25 | been submitted
consistent with this subsection, a CAAPP | ||||||
26 | source operating upon the expiration
of its CAAPP permit |
| |||||||
| |||||||
1 | shall be deemed to be operating without a CAAPP permit.
| ||||||
2 | Such operation is prohibited under this Act.
| ||||||
3 | m. Permits being renewed shall be subject to the same | ||||||
4 | procedural
requirements, including those for public | ||||||
5 | participation and federal review and
objection, that apply | ||||||
6 | to original permit issuance.
| ||||||
7 | n. For purposes of permit renewal, a timely application | ||||||
8 | is one that is
submitted no less than 9 months prior to the | ||||||
9 | date of permit expiration.
| ||||||
10 | o. The terms and conditions of a CAAPP permit shall | ||||||
11 | remain in effect until
the issuance of a CAAPP renewal | ||||||
12 | permit provided a timely and complete CAAPP
application has | ||||||
13 | been submitted.
| ||||||
14 | p. The owner or operator of a CAAPP source seeking a | ||||||
15 | permit shield
pursuant to paragraph 7(j) of this Section | ||||||
16 | shall request such permit shield in
the CAAPP application | ||||||
17 | regarding that source.
| ||||||
18 | q. The Agency shall make available to the public all | ||||||
19 | documents submitted
by the applicant to the Agency, | ||||||
20 | including each CAAPP application, compliance
plan | ||||||
21 | (including the schedule of compliance), and emissions or | ||||||
22 | compliance
monitoring report, with the exception of | ||||||
23 | information entitled to confidential
treatment pursuant to | ||||||
24 | Section 7 of this Act.
| ||||||
25 | r. The Agency shall use the standardized forms required | ||||||
26 | under Title IV of
the Clean Air Act and regulations |
| |||||||
| |||||||
1 | promulgated thereunder for affected sources
for acid | ||||||
2 | deposition.
| ||||||
3 | s. An owner or operator of a CAAPP source may include | ||||||
4 | within its CAAPP
application a request for permission to | ||||||
5 | operate during a startup, malfunction,
or breakdown | ||||||
6 | consistent with applicable Board regulations.
| ||||||
7 | t. An owner or operator of a CAAPP source, in
order to | ||||||
8 | utilize the operational flexibility provided under
| ||||||
9 | paragraph 7(l) of this Section, must request such use and
| ||||||
10 | provide the necessary information within its CAAPP | ||||||
11 | application.
| ||||||
12 | u. An owner or operator of a CAAPP source which seeks | ||||||
13 | exclusion from the
CAAPP through the imposition of | ||||||
14 | federally enforceable conditions, pursuant to
paragraph | ||||||
15 | 3(c) of this Section, must request such exclusion within a | ||||||
16 | CAAPP
application submitted consistent with this | ||||||
17 | subsection on or after the date that
the CAAPP application | ||||||
18 | for the source is due. Prior to such date, but in no case
| ||||||
19 | later than 9 months after the effective date of the CAAPP, | ||||||
20 | such owner or
operator may request the imposition of | ||||||
21 | federally enforceable conditions
pursuant to paragraph | ||||||
22 | 1.1(b) of this Section.
| ||||||
23 | v. CAAPP applications shall contain accurate | ||||||
24 | information on allowable
emissions to implement the fee | ||||||
25 | provisions of subsection 18 of this Section.
| ||||||
26 | w. An owner or operator of a CAAPP source shall submit |
| |||||||
| |||||||
1 | within its CAAPP
application emissions information | ||||||
2 | regarding all regulated air pollutants
emitted at that | ||||||
3 | source consistent with applicable Agency procedures. | ||||||
4 | Emissions
information regarding insignificant activities | ||||||
5 | or emission levels, as
determined by the Agency pursuant to | ||||||
6 | Board regulations,
may be submitted as a list within the | ||||||
7 | CAAPP application.
The Agency shall propose regulations to | ||||||
8 | the Board defining insignificant
activities or emission | ||||||
9 | levels, consistent with federal regulations, if any,
no | ||||||
10 | later than 18 months after the effective date of this | ||||||
11 | amendatory Act of
1992, consistent with Section 112(n)(1) | ||||||
12 | of the Clean Air Act. The
Board shall adopt final | ||||||
13 | regulations defining insignificant activities or
emission | ||||||
14 | levels no later than 9 months after the date of the | ||||||
15 | Agency's proposal.
| ||||||
16 | x. The owner or operator of a new CAAPP source shall | ||||||
17 | submit its complete
CAAPP application consistent with this | ||||||
18 | subsection within 12 months after
commencing operation of | ||||||
19 | such source.
The owner or operator of an existing source | ||||||
20 | that has been excluded from the
provisions of this Section | ||||||
21 | under subsection 1.1 or subsection 3(c) of
this Section and | ||||||
22 | that becomes subject to the CAAPP solely due to a change in
| ||||||
23 | operation at the source shall submit its complete CAAPP | ||||||
24 | application consistent
with this subsection at least 180 | ||||||
25 | days before commencing operation in
accordance with the | ||||||
26 | change in operation.
|
| |||||||
| |||||||
1 | y. The Agency shall have the authority to adopt | ||||||
2 | procedural rules, in
accordance with the Illinois | ||||||
3 | Administrative Procedure Act, as the Agency deems
| ||||||
4 | necessary to implement this subsection.
| ||||||
5 | 6. Prohibitions.
| ||||||
6 | a. It shall be unlawful for any person to violate any | ||||||
7 | terms or conditions
of a permit issued under this Section, | ||||||
8 | to operate any CAAPP source except in
compliance with a | ||||||
9 | permit issued by the Agency under this Section or to | ||||||
10 | violate
any other applicable requirements. All terms and | ||||||
11 | conditions of a permit issued
under this Section are | ||||||
12 | enforceable by USEPA and citizens under the Clean Air
Act, | ||||||
13 | except those, if any, that are specifically designated as | ||||||
14 | not being
federally enforceable in the permit pursuant to | ||||||
15 | paragraph 7(m) of this Section.
| ||||||
16 | b. After the applicable CAAPP permit or renewal | ||||||
17 | application submittal
date, as specified in subsection 5 of | ||||||
18 | this Section, no person shall operate a
CAAPP source | ||||||
19 | without a CAAPP permit unless the complete CAAPP permit or | ||||||
20 | renewal
application for such source has been timely | ||||||
21 | submitted to the Agency.
| ||||||
22 | c. No owner or operator of a CAAPP source shall cause | ||||||
23 | or threaten or allow
the continued operation of an emission | ||||||
24 | source during malfunction or breakdown
of the emission | ||||||
25 | source or related air pollution control equipment if such
|
| |||||||
| |||||||
1 | operation would cause a violation of the standards or | ||||||
2 | limitations applicable to
the source, unless the CAAPP | ||||||
3 | permit granted to the source provides for such
operation | ||||||
4 | consistent with this Act and applicable Board regulations.
| ||||||
5 | 7. Permit Content.
| ||||||
6 | a. All CAAPP permits shall contain emission | ||||||
7 | limitations and standards and
other enforceable terms and | ||||||
8 | conditions, including but not limited to
operational | ||||||
9 | requirements, and schedules for achieving compliance at | ||||||
10 | the
earliest reasonable date, which are or will be required | ||||||
11 | to accomplish the
purposes and provisions of this Act and | ||||||
12 | to assure compliance with all
applicable requirements.
| ||||||
13 | b. The Agency shall include among such conditions | ||||||
14 | applicable monitoring,
reporting, record keeping and | ||||||
15 | compliance certification requirements, as
authorized by | ||||||
16 | paragraphs d, e, and f of this subsection, that the Agency | ||||||
17 | deems
necessary to assure compliance with the Clean Air | ||||||
18 | Act, the regulations
promulgated thereunder, this Act, and | ||||||
19 | applicable Board regulations. When
monitoring, reporting, | ||||||
20 | record keeping, and compliance certification
requirements | ||||||
21 | are specified within the Clean Air Act, regulations | ||||||
22 | promulgated
thereunder, this Act, or applicable | ||||||
23 | regulations, such requirements shall be
included within | ||||||
24 | the CAAPP permit. The Board shall have authority to | ||||||
25 | promulgate
additional regulations where necessary to |
| |||||||
| |||||||
1 | accomplish the purposes of the Clean
Air Act, this Act, and | ||||||
2 | regulations promulgated thereunder.
| ||||||
3 | c. The Agency shall assure, within such conditions, the | ||||||
4 | use of terms, test
methods, units, averaging periods, and | ||||||
5 | other statistical conventions consistent
with the | ||||||
6 | applicable emission limitations, standards, and other | ||||||
7 | requirements
contained in the permit.
| ||||||
8 | d. To meet the requirements of this subsection with | ||||||
9 | respect to monitoring,
the permit shall:
| ||||||
10 | i. Incorporate and identify all applicable | ||||||
11 | emissions monitoring and
analysis procedures or test | ||||||
12 | methods required under the Clean Air Act,
regulations | ||||||
13 | promulgated thereunder, this Act, and applicable Board | ||||||
14 | regulations,
including any procedures and methods | ||||||
15 | promulgated by USEPA pursuant to Section
504(b) or | ||||||
16 | Section 114 (a)(3) of the Clean Air Act.
| ||||||
17 | ii. Where the applicable requirement does not | ||||||
18 | require periodic testing
or instrumental or | ||||||
19 | noninstrumental monitoring (which may consist of
| ||||||
20 | recordkeeping designed to serve as monitoring), | ||||||
21 | require periodic monitoring
sufficient to yield | ||||||
22 | reliable data from the relevant time period that is
| ||||||
23 | representative of the source's compliance with the | ||||||
24 | permit, as reported pursuant
to paragraph (f) of this | ||||||
25 | subsection. The Agency may determine that
| ||||||
26 | recordkeeping requirements are sufficient to meet the |
| |||||||
| |||||||
1 | requirements of this
subparagraph.
| ||||||
2 | iii. As necessary, specify requirements concerning | ||||||
3 | the use, maintenance,
and when appropriate, | ||||||
4 | installation of monitoring equipment or methods.
| ||||||
5 | e. To meet the requirements of this subsection with | ||||||
6 | respect to record
keeping, the permit shall incorporate and | ||||||
7 | identify all applicable recordkeeping
requirements and | ||||||
8 | require, where applicable, the following:
| ||||||
9 | i. Records of required monitoring information that | ||||||
10 | include the
following:
| ||||||
11 | A. The date, place and time of sampling or | ||||||
12 | measurements.
| ||||||
13 | B. The date(s) analyses were performed.
| ||||||
14 | C. The company or entity that performed the | ||||||
15 | analyses.
| ||||||
16 | D. The analytical techniques or methods used.
| ||||||
17 | E. The results of such analyses.
| ||||||
18 | F. The operating conditions as existing at the | ||||||
19 | time of sampling or
measurement.
| ||||||
20 | ii. Retention of records of all monitoring data | ||||||
21 | and support
information for a period of at least 5 | ||||||
22 | years from the date of the monitoring
sample, | ||||||
23 | measurement, report, or application. Support | ||||||
24 | information includes all
calibration and maintenance | ||||||
25 | records, original strip-chart recordings for
| ||||||
26 | continuous monitoring instrumentation, and copies of |
| |||||||
| |||||||
1 | all reports required by
the permit.
| ||||||
2 | f. To meet the requirements of this subsection with | ||||||
3 | respect to reporting,
the permit shall incorporate and | ||||||
4 | identify all applicable reporting requirements
and require | ||||||
5 | the following:
| ||||||
6 | i. Submittal of reports of any required monitoring | ||||||
7 | every 6 months. More
frequent submittals may be | ||||||
8 | requested by the Agency if such submittals are
| ||||||
9 | necessary to assure compliance with this Act or | ||||||
10 | regulations promulgated by the
Board thereunder. All | ||||||
11 | instances of deviations from permit requirements must | ||||||
12 | be
clearly identified in such reports. All required | ||||||
13 | reports must be certified by
a responsible official | ||||||
14 | consistent with subsection 5 of this Section.
| ||||||
15 | ii. Prompt reporting of deviations from permit | ||||||
16 | requirements, including
those attributable to upset | ||||||
17 | conditions as defined in the permit, the probable
cause | ||||||
18 | of such deviations, and any corrective actions or | ||||||
19 | preventive measures
taken.
| ||||||
20 | g. Each CAAPP permit issued under subsection 10 of this | ||||||
21 | Section shall
include a condition prohibiting emissions | ||||||
22 | exceeding any allowances that the
source lawfully holds | ||||||
23 | under Title IV of the Clean Air Act or the regulations
| ||||||
24 | promulgated thereunder, consistent with subsection 17 of | ||||||
25 | this Section and
applicable regulations, if any.
| ||||||
26 | h. All CAAPP permits shall state that, where another |
| |||||||
| |||||||
1 | applicable
requirement of the Clean Air Act is more | ||||||
2 | stringent than any applicable
requirement of regulations | ||||||
3 | promulgated under Title IV of the Clean Air Act,
both | ||||||
4 | provisions shall be incorporated into the permit and shall | ||||||
5 | be State and
federally enforceable.
| ||||||
6 | i. Each CAAPP permit issued under subsection 10 of this | ||||||
7 | Section shall
include a severability clause to ensure the | ||||||
8 | continued validity of the various
permit requirements in | ||||||
9 | the event of a challenge to any portions of the permit.
| ||||||
10 | j. The following shall apply with respect to owners or | ||||||
11 | operators
requesting a permit shield:
| ||||||
12 | i. The Agency shall include in a CAAPP permit, when | ||||||
13 | requested by an
applicant pursuant to paragraph 5(p) of | ||||||
14 | this Section, a provision stating that
compliance with | ||||||
15 | the conditions of the permit shall be deemed compliance | ||||||
16 | with
applicable requirements which are applicable as | ||||||
17 | of the date of release of
the proposed permit, provided | ||||||
18 | that:
| ||||||
19 | A. The applicable requirement is specifically | ||||||
20 | identified within the
permit; or
| ||||||
21 | B. The Agency in acting on the CAAPP | ||||||
22 | application or revision
determines in writing that | ||||||
23 | other requirements specifically identified are not
| ||||||
24 | applicable to the source, and the permit includes | ||||||
25 | that determination or a
concise summary thereof.
| ||||||
26 | ii. The permit shall identify the requirements for |
| |||||||
| |||||||
1 | which the source is
shielded. The shield shall not | ||||||
2 | extend to applicable requirements which are
| ||||||
3 | promulgated after the date of release of the proposed | ||||||
4 | permit unless the permit
has been modified to reflect | ||||||
5 | such new requirements.
| ||||||
6 | iii. A CAAPP permit which does not expressly | ||||||
7 | indicate the existence of a
permit shield shall not | ||||||
8 | provide such a shield.
| ||||||
9 | iv. Nothing in this paragraph or in a CAAPP permit | ||||||
10 | shall alter or affect
the following:
| ||||||
11 | A. The provisions of Section 303 (emergency | ||||||
12 | powers) of the Clean Air
Act, including USEPA's | ||||||
13 | authority under that section.
| ||||||
14 | B. The liability of an owner or operator of a | ||||||
15 | source for any violation
of applicable | ||||||
16 | requirements prior to or at the time of permit | ||||||
17 | issuance.
| ||||||
18 | C. The applicable requirements of the acid | ||||||
19 | rain program consistent
with Section 408(a) of the | ||||||
20 | Clean Air Act.
| ||||||
21 | D. The ability of USEPA to obtain information | ||||||
22 | from a source pursuant
to Section 114 | ||||||
23 | (inspections, monitoring, and entry) of the Clean | ||||||
24 | Air Act.
| ||||||
25 | k. Each CAAPP permit shall include an emergency | ||||||
26 | provision providing an
affirmative defense of emergency to |
| |||||||
| |||||||
1 | an action brought for noncompliance with
technology-based | ||||||
2 | emission limitations under a CAAPP permit if the following
| ||||||
3 | conditions are met through properly signed, | ||||||
4 | contemporaneous operating logs, or
other relevant | ||||||
5 | evidence:
| ||||||
6 | i. An emergency occurred and the permittee can | ||||||
7 | identify the cause(s) of
the emergency.
| ||||||
8 | ii. The permitted facility was at the time being | ||||||
9 | properly operated.
| ||||||
10 | iii. The permittee submitted notice of the | ||||||
11 | emergency to the Agency
within 2 working days of the | ||||||
12 | time when emission limitations were exceeded due
to the | ||||||
13 | emergency. This notice must contain a detailed | ||||||
14 | description of the
emergency, any steps taken to | ||||||
15 | mitigate emissions, and corrective actions taken.
| ||||||
16 | iv. During the period of the emergency the | ||||||
17 | permittee took all reasonable
steps to minimize levels | ||||||
18 | of emissions that exceeded the emission limitations,
| ||||||
19 | standards, or requirements in the permit.
| ||||||
20 | For purposes of this subsection, "emergency" means any | ||||||
21 | situation arising
from sudden and reasonably unforeseeable | ||||||
22 | events beyond the control of the
source, such as an act of | ||||||
23 | God, that requires immediate corrective action to
restore | ||||||
24 | normal operation, and that causes the source to exceed a
| ||||||
25 | technology-based emission limitation under the permit, due | ||||||
26 | to unavoidable
increases in emissions attributable to the |
| |||||||
| |||||||
1 | emergency. An emergency shall not
include noncompliance to | ||||||
2 | the extent caused by improperly designed equipment,
lack of | ||||||
3 | preventative maintenance, careless or improper operation, | ||||||
4 | or operation
error.
| ||||||
5 | In any enforcement proceeding, the permittee seeking | ||||||
6 | to establish the
occurrence of an emergency has the burden | ||||||
7 | of proof. This provision is in
addition to any emergency or | ||||||
8 | upset provision contained in any applicable
requirement. | ||||||
9 | This provision does not relieve a permittee of any | ||||||
10 | reporting
obligations under existing federal or state laws | ||||||
11 | or regulations.
| ||||||
12 | l. The Agency shall include in each permit issued under | ||||||
13 | subsection 10 of this Section:
| ||||||
14 | i. Terms and conditions for reasonably anticipated | ||||||
15 | operating scenarios
identified by the source in its | ||||||
16 | application. The permit terms and
conditions for each | ||||||
17 | such operating scenario shall meet all applicable
| ||||||
18 | requirements and the requirements of this Section.
| ||||||
19 | A. Under this subparagraph, the source must | ||||||
20 | record in a log at the
permitted facility a record | ||||||
21 | of the scenario under which it is operating
| ||||||
22 | contemporaneously with making a change from one | ||||||
23 | operating scenario to another.
| ||||||
24 | B. The permit shield described in paragraph | ||||||
25 | 7(j) of this Section
shall extend to all terms and | ||||||
26 | conditions under each such operating scenario.
|
| |||||||
| |||||||
1 | ii. Where requested by an applicant, all terms and | ||||||
2 | conditions allowing
for trading of emissions increases | ||||||
3 | and decreases between different emission
units at the | ||||||
4 | CAAPP source, to the extent that the applicable | ||||||
5 | requirements
provide for trading of such emissions | ||||||
6 | increases and decreases without a
case-by-case | ||||||
7 | approval of each emissions trade. Such terms and | ||||||
8 | conditions:
| ||||||
9 | A. Shall include all terms required under this | ||||||
10 | subsection to determine
compliance;
| ||||||
11 | B. Must meet all applicable requirements;
| ||||||
12 | C. Shall extend the permit shield described in | ||||||
13 | paragraph 7(j) of this
Section to all terms and | ||||||
14 | conditions that allow such increases and decreases | ||||||
15 | in
emissions.
| ||||||
16 | m. The Agency shall specifically designate as not being | ||||||
17 | federally
enforceable under the Clean Air Act any terms and | ||||||
18 | conditions included in the
permit that are not specifically | ||||||
19 | required under the Clean Air Act or federal
regulations | ||||||
20 | promulgated thereunder. Terms or conditions so designated | ||||||
21 | shall be
subject to all applicable state requirements, | ||||||
22 | except the requirements of
subsection 7 (other than this | ||||||
23 | paragraph, paragraph q of subsection 7,
subsections 8 | ||||||
24 | through 11, and subsections 13 through 16 of this Section. | ||||||
25 | The
Agency shall, however, include such terms and | ||||||
26 | conditions in the CAAPP permit
issued to the source.
|
| |||||||
| |||||||
1 | n. Each CAAPP permit issued under subsection 10 of this | ||||||
2 | Section shall
specify and reference the origin of and | ||||||
3 | authority for each term or condition,
and identify any | ||||||
4 | difference in form as compared to the applicable | ||||||
5 | requirement
upon which the term or condition is based.
| ||||||
6 | o. Each CAAPP permit issued under subsection 10 of this | ||||||
7 | Section shall
include provisions stating the following:
| ||||||
8 | i. Duty to comply. The permittee must comply with | ||||||
9 | all terms and
conditions of the CAAPP permit. Any | ||||||
10 | permit noncompliance constitutes a
violation of the | ||||||
11 | Clean Air Act and the Act, and is grounds for any or | ||||||
12 | all of
the following: enforcement action; permit | ||||||
13 | termination, revocation and
reissuance, or | ||||||
14 | modification; or denial of a permit renewal | ||||||
15 | application.
| ||||||
16 | ii. Need to halt or reduce activity not a defense. | ||||||
17 | It shall not be a
defense for a permittee in an | ||||||
18 | enforcement action that it would have been
necessary to | ||||||
19 | halt or reduce the permitted activity in order to | ||||||
20 | maintain
compliance with the conditions of this | ||||||
21 | permit.
| ||||||
22 | iii. Permit actions. The permit may be modified, | ||||||
23 | revoked, reopened, and
reissued, or terminated for | ||||||
24 | cause in accordance with the applicable subsections
of | ||||||
25 | Section 39.5 of this Act. The filing of a request by | ||||||
26 | the permittee for a
permit modification, revocation |
| |||||||
| |||||||
1 | and reissuance, or termination, or of a
notification of | ||||||
2 | planned changes or anticipated noncompliance does not | ||||||
3 | stay any
permit condition.
| ||||||
4 | iv. Property rights. The permit does not convey any | ||||||
5 | property rights of
any sort, or any exclusive | ||||||
6 | privilege.
| ||||||
7 | v. Duty to provide information. The permittee | ||||||
8 | shall furnish to the
Agency within a reasonable time | ||||||
9 | specified by the Agency any information that
the Agency | ||||||
10 | may request in writing to determine whether cause | ||||||
11 | exists for
modifying, revoking and reissuing, or | ||||||
12 | terminating the permit or to determine
compliance with | ||||||
13 | the permit. Upon request, the permittee shall also | ||||||
14 | furnish to
the Agency copies of records required to be | ||||||
15 | kept by the permit or, for
information claimed to be | ||||||
16 | confidential, the permittee may furnish such records
| ||||||
17 | directly to USEPA along with a claim of | ||||||
18 | confidentiality.
| ||||||
19 | vi. Duty to pay fees. The permittee must pay fees | ||||||
20 | to the Agency
consistent with the fee schedule approved | ||||||
21 | pursuant to subsection 18 of this
Section, and submit | ||||||
22 | any information relevant thereto.
| ||||||
23 | vii. Emissions trading. No permit revision shall | ||||||
24 | be required for
increases in emissions allowed under | ||||||
25 | any approved economic incentives,
marketable permits, | ||||||
26 | emissions trading, and other similar programs or |
| |||||||
| |||||||
1 | processes
for changes that are provided for in the | ||||||
2 | permit and that are authorized by the
applicable | ||||||
3 | requirement.
| ||||||
4 | p. Each CAAPP permit issued under subsection 10 of this | ||||||
5 | Section shall
contain the following elements with respect | ||||||
6 | to compliance:
| ||||||
7 | i. Compliance certification, testing, monitoring, | ||||||
8 | reporting, and record
keeping requirements sufficient | ||||||
9 | to assure compliance with the terms and
conditions of | ||||||
10 | the permit. Any document (including reports) required | ||||||
11 | by a CAAPP
permit shall contain a certification by a | ||||||
12 | responsible official that meets the
requirements of | ||||||
13 | subsection 5 of this Section and applicable | ||||||
14 | regulations.
| ||||||
15 | ii. Inspection and entry requirements that | ||||||
16 | necessitate that, upon
presentation of credentials and | ||||||
17 | other documents as may be required by law and
in | ||||||
18 | accordance with constitutional limitations, the | ||||||
19 | permittee shall allow the
Agency, or an authorized | ||||||
20 | representative to perform the following:
| ||||||
21 | A. Enter upon the permittee's premises where a | ||||||
22 | CAAPP source is located
or emissions-related | ||||||
23 | activity is conducted, or where records must be | ||||||
24 | kept under
the conditions of the permit.
| ||||||
25 | B. Have access to and copy, at reasonable | ||||||
26 | times, any records that must
be kept under the |
| |||||||
| |||||||
1 | conditions of the permit.
| ||||||
2 | C. Inspect at reasonable times any facilities, | ||||||
3 | equipment (including
monitoring and air pollution | ||||||
4 | control equipment), practices, or operations
| ||||||
5 | regulated or required under the permit.
| ||||||
6 | D. Sample or monitor any substances or | ||||||
7 | parameters at any location:
| ||||||
8 | 1. As authorized by the Clean Air Act, at | ||||||
9 | reasonable times, for
the purposes of assuring | ||||||
10 | compliance with the CAAPP permit or applicable
| ||||||
11 | requirements; or
| ||||||
12 | 2. As otherwise authorized by this Act.
| ||||||
13 | iii. A schedule of compliance consistent with | ||||||
14 | subsection 5 of this
Section and applicable | ||||||
15 | regulations.
| ||||||
16 | iv. Progress reports consistent with an applicable | ||||||
17 | schedule of
compliance pursuant to paragraph 5(d) of | ||||||
18 | this Section and applicable
regulations to be | ||||||
19 | submitted semiannually, or more frequently if the | ||||||
20 | Agency
determines that such more frequent submittals | ||||||
21 | are necessary for compliance with
the Act or | ||||||
22 | regulations promulgated by the Board thereunder. Such | ||||||
23 | progress
reports shall contain the following:
| ||||||
24 | A. Required dates for achieving the | ||||||
25 | activities, milestones, or
compliance required by | ||||||
26 | the schedule of compliance and dates when such
|
| |||||||
| |||||||
1 | activities, milestones or compliance were | ||||||
2 | achieved.
| ||||||
3 | B. An explanation of why any dates in the | ||||||
4 | schedule of compliance were
not or will not be met, | ||||||
5 | and any preventive or corrective measures adopted.
| ||||||
6 | v. Requirements for compliance certification with | ||||||
7 | terms and conditions
contained in the permit, | ||||||
8 | including emission limitations, standards, or work
| ||||||
9 | practices. Permits shall include each of the | ||||||
10 | following:
| ||||||
11 | A. The frequency (annually or more frequently | ||||||
12 | as specified in any
applicable requirement or by | ||||||
13 | the Agency pursuant to written procedures) of
| ||||||
14 | submissions of compliance certifications.
| ||||||
15 | B. A means for assessing or monitoring the | ||||||
16 | compliance of the source
with its emissions | ||||||
17 | limitations, standards, and work practices.
| ||||||
18 | C. A requirement that the compliance | ||||||
19 | certification include the
following:
| ||||||
20 | 1. The identification of each term or | ||||||
21 | condition contained in the
permit that is the | ||||||
22 | basis of the certification.
| ||||||
23 | 2. The compliance status.
| ||||||
24 | 3. Whether compliance was continuous or | ||||||
25 | intermittent.
| ||||||
26 | 4. The method(s) used for determining the |
| |||||||
| |||||||
1 | compliance status of the
source, both | ||||||
2 | currently and over the reporting period | ||||||
3 | consistent with subsection
7 of Section 39.5 of | ||||||
4 | the Act.
| ||||||
5 | D. A requirement that all compliance | ||||||
6 | certifications be submitted to
USEPA as well as to | ||||||
7 | the Agency.
| ||||||
8 | E. Additional requirements as may be specified | ||||||
9 | pursuant to Sections
114(a)(3) and 504(b) of the | ||||||
10 | Clean Air Act.
| ||||||
11 | F. Other provisions as the Agency may require.
| ||||||
12 | q. If the owner or operator of CAAPP source can | ||||||
13 | demonstrate in its
CAAPP application, including an | ||||||
14 | application for a significant modification,
that an | ||||||
15 | alternative emission limit would be equivalent to that | ||||||
16 | contained in the
applicable Board regulations, the Agency | ||||||
17 | shall include the alternative
emission limit in the CAAPP | ||||||
18 | permit, which shall supersede the
emission limit
set forth | ||||||
19 | in the applicable Board regulations, and shall include | ||||||
20 | conditions
that insure that the resulting emission limit is | ||||||
21 | quantifiable, accountable,
enforceable, and based on | ||||||
22 | replicable procedures.
| ||||||
23 | 8. Public Notice; Affected State Review.
| ||||||
24 | a. The Agency shall provide notice to the public, | ||||||
25 | including an opportunity
for public comment and a hearing, | ||||||
26 | on each draft CAAPP permit for issuance,
renewal or |
| |||||||
| |||||||
1 | significant modification, subject to Sections 7(a) and 7.1 | ||||||
2 | of this
Act.
| ||||||
3 | b. The Agency shall prepare a draft CAAPP permit and a | ||||||
4 | statement that sets
forth the legal and factual basis for | ||||||
5 | the draft CAAPP permit conditions,
including references to | ||||||
6 | the applicable statutory or regulatory provisions. The
| ||||||
7 | Agency shall provide this statement to any person who | ||||||
8 | requests it.
| ||||||
9 | c. The Agency shall give notice of each draft CAAPP | ||||||
10 | permit to the
applicant and to any affected State on or | ||||||
11 | before the time that the Agency has
provided notice to the | ||||||
12 | public, except as otherwise provided in this Act.
| ||||||
13 | d. The Agency, as part of its submittal of a proposed | ||||||
14 | permit to USEPA
(or as soon as possible after the submittal | ||||||
15 | for minor permit modification
procedures allowed under | ||||||
16 | subsection 14 of this Section), shall notify USEPA
and any | ||||||
17 | affected State in writing of any refusal of the Agency to | ||||||
18 | accept all
of the recommendations for the proposed permit | ||||||
19 | that an affected State
submitted during the public or | ||||||
20 | affected State review period. The notice
shall include the | ||||||
21 | Agency's reasons for not accepting the recommendations.
| ||||||
22 | The Agency is not required to accept recommendations that | ||||||
23 | are not based on
applicable requirements or the | ||||||
24 | requirements of this Section.
| ||||||
25 | e. The Agency shall make available to the public any | ||||||
26 | CAAPP permit
application, compliance plan (including the |
| |||||||
| |||||||
1 | schedule of compliance), CAAPP
permit, and emissions or | ||||||
2 | compliance monitoring report. If an owner or operator
of a | ||||||
3 | CAAPP source is required to submit information entitled to | ||||||
4 | protection from
disclosure under Section 7(a) or Section | ||||||
5 | 7.1 of this Act, the owner or operator
shall submit such | ||||||
6 | information separately. The requirements of Section 7(a) | ||||||
7 | or
Section 7.1 of this Act shall apply to such information, | ||||||
8 | which shall not be
included in a CAAPP permit unless | ||||||
9 | required by law. The contents of a CAAPP
permit shall not | ||||||
10 | be entitled to protection under Section 7(a) or Section 7.1 | ||||||
11 | of
this Act.
| ||||||
12 | f. The Agency shall have the authority to adopt | ||||||
13 | procedural rules, in
accordance with the Illinois | ||||||
14 | Administrative Procedure Act, as the Agency deems
| ||||||
15 | necessary, to implement this subsection.
| ||||||
16 | 9. USEPA Notice and Objection.
| ||||||
17 | a. The Agency shall provide to USEPA for its review a | ||||||
18 | copy of each CAAPP
application (including any application | ||||||
19 | for permit modification), statement of
basis as provided in | ||||||
20 | paragraph 8(b) of this Section, proposed CAAPP permit,
| ||||||
21 | CAAPP permit, and, if the Agency does not incorporate any | ||||||
22 | affected State's
recommendations on a proposed CAAPP | ||||||
23 | permit, a written statement of this
decision and its | ||||||
24 | reasons for not accepting the recommendations, except as
| ||||||
25 | otherwise provided in this Act or by agreement with USEPA. |
| |||||||
| |||||||
1 | To the extent
practicable, the preceding information shall | ||||||
2 | be provided in computer readable
format compatible with | ||||||
3 | USEPA's national database management system.
| ||||||
4 | b. The Agency shall not issue the proposed CAAPP permit | ||||||
5 | if USEPA objects
in writing within 45 days of receipt of | ||||||
6 | the proposed CAAPP permit and all
necessary supporting | ||||||
7 | information.
| ||||||
8 | c. If USEPA objects in writing to the issuance of the | ||||||
9 | proposed CAAPP
permit within the 45-day period, the Agency | ||||||
10 | shall respond in writing and may
revise and resubmit the | ||||||
11 | proposed CAAPP permit in response to the stated
objection, | ||||||
12 | to the extent supported by the record, within 90 days after | ||||||
13 | the date
of the objection. Prior to submitting a revised | ||||||
14 | permit to USEPA, the Agency
shall provide the applicant and | ||||||
15 | any person who participated in the public
comment process, | ||||||
16 | pursuant to subsection 8 of this Section, with a 10-day | ||||||
17 | period
to comment on any revision which the Agency is | ||||||
18 | proposing to make to the permit
in response to USEPA's | ||||||
19 | objection in accordance with Agency procedures.
| ||||||
20 | d. Any USEPA objection under this subsection, | ||||||
21 | according to the Clean Air
Act, will include a statement of | ||||||
22 | reasons for the objection and a description of
the terms | ||||||
23 | and conditions that must be in the permit, in order to | ||||||
24 | adequately
respond to the objections. Grounds for a USEPA | ||||||
25 | objection include the failure
of the Agency to: (1) submit | ||||||
26 | the items and notices required under this
subsection; (2) |
| |||||||
| |||||||
1 | submit any other information necessary to adequately | ||||||
2 | review the
proposed CAAPP permit; or (3) process the permit | ||||||
3 | under subsection 8 of this
Section except for minor permit | ||||||
4 | modifications.
| ||||||
5 | e. If USEPA does not object in writing to issuance of a | ||||||
6 | permit under this
subsection, any person may petition USEPA | ||||||
7 | within 60 days after expiration of
the 45-day review period | ||||||
8 | to make such objection.
| ||||||
9 | f. If the permit has not yet been issued and USEPA | ||||||
10 | objects to the permit
as a result of a petition, the Agency | ||||||
11 | shall not issue the permit until USEPA's
objection has been | ||||||
12 | resolved. The Agency shall provide a 10-day comment period
| ||||||
13 | in accordance with paragraph c of this subsection. A | ||||||
14 | petition does not,
however, stay the effectiveness of a | ||||||
15 | permit or its requirements if the permit
was issued after | ||||||
16 | expiration of the 45-day review period and prior to a USEPA
| ||||||
17 | objection.
| ||||||
18 | g. If the Agency has issued a permit after expiration | ||||||
19 | of the 45-day review
period and prior to receipt of a USEPA | ||||||
20 | objection under this subsection in
response to a petition | ||||||
21 | submitted pursuant to paragraph e of this subsection,
the | ||||||
22 | Agency may, upon receipt of an objection from USEPA, revise | ||||||
23 | and resubmit
the permit to USEPA pursuant to this | ||||||
24 | subsection after providing a 10-day
comment period in | ||||||
25 | accordance with paragraph c of this subsection. If the | ||||||
26 | Agency
fails to submit a revised permit in response to the |
| |||||||
| |||||||
1 | objection, USEPA shall
modify, terminate or revoke the | ||||||
2 | permit. In any case, the source will not be in
violation of | ||||||
3 | the requirement to have submitted a timely and complete
| ||||||
4 | application.
| ||||||
5 | h. The Agency shall have the authority to adopt | ||||||
6 | procedural rules, in
accordance with the Illinois | ||||||
7 | Administrative Procedure Act, as the Agency deems
| ||||||
8 | necessary, to implement this subsection.
| ||||||
9 | 10. Final Agency Action.
| ||||||
10 | a. The Agency shall issue a CAAPP permit, permit | ||||||
11 | modification, or permit
renewal if all of the following | ||||||
12 | conditions are met:
| ||||||
13 | i. The applicant has submitted a complete and | ||||||
14 | certified application for
a permit, permit | ||||||
15 | modification, or permit renewal consistent with | ||||||
16 | subsections 5
and 14 of this Section, as applicable, | ||||||
17 | and applicable regulations.
| ||||||
18 | ii. The applicant has submitted with its complete | ||||||
19 | application an
approvable compliance plan, including a | ||||||
20 | schedule for achieving compliance,
consistent with | ||||||
21 | subsection 5 of this Section and applicable | ||||||
22 | regulations.
| ||||||
23 | iii. The applicant has timely paid the fees | ||||||
24 | required pursuant to
subsection 18 of this Section and | ||||||
25 | applicable regulations.
|
| |||||||
| |||||||
1 | iv. The Agency has received a complete CAAPP | ||||||
2 | application and, if
necessary, has requested and | ||||||
3 | received additional information from the applicant
| ||||||
4 | consistent with subsection 5 of this Section and | ||||||
5 | applicable regulations.
| ||||||
6 | v. The Agency has complied with all applicable | ||||||
7 | provisions regarding
public notice and affected State | ||||||
8 | review consistent with subsection 8 of this
Section and | ||||||
9 | applicable regulations.
| ||||||
10 | vi. The Agency has provided a copy of each CAAPP | ||||||
11 | application, or summary
thereof, pursuant to agreement | ||||||
12 | with USEPA and proposed CAAPP permit required
under | ||||||
13 | subsection 9 of this Section to USEPA, and USEPA has | ||||||
14 | not objected to the
issuance of the permit in | ||||||
15 | accordance with the Clean Air Act and 40 CFR Part 70.
| ||||||
16 | b. The Agency shall have the authority to deny a CAAPP | ||||||
17 | permit, permit
modification, or permit renewal if the | ||||||
18 | applicant has not complied with the
requirements of | ||||||
19 | paragraphs (a)(i)-(a)(iv) of this subsection or if USEPA
| ||||||
20 | objects to its issuance.
| ||||||
21 | c. i. Prior to denial of a CAAPP permit, permit | ||||||
22 | modification, or permit
renewal under this Section, | ||||||
23 | the Agency shall notify the applicant of the
possible | ||||||
24 | denial and the reasons for the denial.
| ||||||
25 | ii. Within such notice, the Agency shall specify an | ||||||
26 | appropriate date by
which the applicant shall |
| |||||||
| |||||||
1 | adequately respond to the Agency's notice. Such date
| ||||||
2 | shall not exceed 15 days from the date the notification | ||||||
3 | is received by the
applicant. The Agency may grant a | ||||||
4 | reasonable extension for good cause
shown.
| ||||||
5 | iii. Failure by the applicant to adequately | ||||||
6 | respond by the date
specified in the notification or by | ||||||
7 | any granted extension date shall be grounds
for denial | ||||||
8 | of the permit.
| ||||||
9 | For purposes of obtaining judicial review under | ||||||
10 | Sections 40.2 and 41 of
this Act, the Agency shall | ||||||
11 | provide to USEPA and each applicant, and, upon
request, | ||||||
12 | to affected States, any person who participated in the | ||||||
13 | public comment
process, and any other person who could | ||||||
14 | obtain judicial review under Sections
40.2 and 41 of | ||||||
15 | this Act, a copy of each CAAPP permit or notification | ||||||
16 | of denial
pertaining to that party.
| ||||||
17 | d. The Agency shall have the authority to adopt | ||||||
18 | procedural rules, in
accordance with the Illinois | ||||||
19 | Administrative Procedure Act, as the Agency deems
| ||||||
20 | necessary, to implement this subsection.
| ||||||
21 | 11. General Permits.
| ||||||
22 | a. The Agency may issue a general permit covering | ||||||
23 | numerous similar
sources, except for affected sources for | ||||||
24 | acid deposition unless otherwise
provided in regulations | ||||||
25 | promulgated under Title IV of the Clean Air Act.
|
| |||||||
| |||||||
1 | b. The Agency shall identify, in any general permit, | ||||||
2 | criteria by which
sources may qualify for the general | ||||||
3 | permit.
| ||||||
4 | c. CAAPP sources that would qualify for a general | ||||||
5 | permit must apply for
coverage under the terms of the | ||||||
6 | general permit or must apply for a CAAPP permit
consistent | ||||||
7 | with subsection 5 of this Section and applicable | ||||||
8 | regulations.
| ||||||
9 | d. The Agency shall comply with the public comment and | ||||||
10 | hearing provisions
of this Section as well as the USEPA and | ||||||
11 | affected State review procedures prior
to issuance of a | ||||||
12 | general
permit.
| ||||||
13 | e. When granting a subsequent request by a qualifying | ||||||
14 | CAAPP source for
coverage under the terms of a general | ||||||
15 | permit, the Agency shall not be required
to repeat the | ||||||
16 | public notice and comment procedures. The granting of such
| ||||||
17 | request shall not be considered a final permit action for | ||||||
18 | purposes of judicial
review.
| ||||||
19 | f. The Agency may not issue a general permit to cover | ||||||
20 | any discrete
emission unit at a CAAPP source if another | ||||||
21 | CAAPP permit covers emission units
at the source.
| ||||||
22 | g. The Agency shall have the authority to adopt | ||||||
23 | procedural rules, in
accordance with the Illinois | ||||||
24 | Administrative Procedure Act, as the Agency deems
| ||||||
25 | necessary, to implement this subsection.
|
| |||||||
| |||||||
1 | 12. Operational Flexibility.
| ||||||
2 | a. An owner or operator of a CAAPP source may make | ||||||
3 | changes at the CAAPP
source without requiring a prior | ||||||
4 | permit revision, consistent with
subparagraphs (a) (i) | ||||||
5 | through (a) (iii) of this subsection, so long as the
| ||||||
6 | changes are not modifications under any provision of Title | ||||||
7 | I of the Clean
Air Act and they do not exceed the emissions | ||||||
8 | allowable under the permit
(whether expressed therein as a | ||||||
9 | rate of emissions or in terms of total
emissions), provided | ||||||
10 | that the owner or operator of the CAAPP source
provides | ||||||
11 | USEPA and the Agency with written notification as required | ||||||
12 | below in
advance of the proposed changes, which shall be a | ||||||
13 | minimum of 7 days, unless
otherwise provided by the Agency | ||||||
14 | in applicable regulations regarding
emergencies. The owner | ||||||
15 | or operator of a CAAPP source and the Agency shall
each | ||||||
16 | attach such notice to their copy of the relevant permit.
| ||||||
17 | i. An owner or operator of a CAAPP source may make
| ||||||
18 | Section 502 (b) (10) changes without a permit revision, | ||||||
19 | if the
changes are not modifications under any | ||||||
20 | provision of Title I of the Clean
Air Act and the | ||||||
21 | changes do not exceed the emissions allowable under the
| ||||||
22 | permit (whether expressed therein as a rate of | ||||||
23 | emissions or in terms of total emissions).
| ||||||
24 | A. For each such change, the written | ||||||
25 | notification required above shall
include a brief | ||||||
26 | description of the change within the source, the |
| |||||||
| |||||||
1 | date on
which the change will occur, any change in | ||||||
2 | emissions, and any permit term
or condition that is | ||||||
3 | no longer applicable as a result of the change.
| ||||||
4 | B. The permit shield described in paragraph | ||||||
5 | 7(j) of this Section shall
not apply to any change | ||||||
6 | made pursuant to this subparagraph.
| ||||||
7 | ii. An owner or operator of a CAAPP source may | ||||||
8 | trade increases and
decreases in emissions in the CAAPP | ||||||
9 | source, where the applicable
implementation plan | ||||||
10 | provides for such emission trades without requiring a
| ||||||
11 | permit revision. This provision is available in those | ||||||
12 | cases where the
permit does not already provide for | ||||||
13 | such emissions trading.
| ||||||
14 | A. Under this subparagraph (a)(ii), the | ||||||
15 | written notification required
above shall include | ||||||
16 | such information as may be required by the | ||||||
17 | provision in
the applicable implementation plan | ||||||
18 | authorizing the emissions trade,
including at a | ||||||
19 | minimum, when the proposed changes will occur, a | ||||||
20 | description
of each such change, any change in | ||||||
21 | emissions, the permit requirements with
which the | ||||||
22 | source will comply using the emissions trading | ||||||
23 | provisions of the
applicable implementation plan, | ||||||
24 | and the pollutants emitted subject to the
| ||||||
25 | emissions trade. The notice shall also refer to the | ||||||
26 | provisions in the
applicable implementation plan |
| |||||||
| |||||||
1 | with which the source will comply and
provide for | ||||||
2 | the emissions trade.
| ||||||
3 | B. The permit shield described in paragraph | ||||||
4 | 7(j) of this Section shall
not apply to any change | ||||||
5 | made pursuant to this subparagraph (a) (ii).
| ||||||
6 | Compliance with the permit requirements that the | ||||||
7 | source will meet using the
emissions trade shall be | ||||||
8 | determined according to the requirements of the
| ||||||
9 | applicable implementation plan authorizing the | ||||||
10 | emissions trade.
| ||||||
11 | iii. If requested within a CAAPP application, the | ||||||
12 | Agency shall issue a
CAAPP permit which contains terms | ||||||
13 | and conditions, including all terms
required under | ||||||
14 | subsection 7 of this Section to determine compliance,
| ||||||
15 | allowing for the trading of emissions increases and | ||||||
16 | decreases at the CAAPP
source solely for the purpose of | ||||||
17 | complying with a federally-enforceable
emissions cap | ||||||
18 | that is established in the permit independent of | ||||||
19 | otherwise
applicable requirements. The owner or | ||||||
20 | operator of a CAAPP source shall include
in its CAAPP | ||||||
21 | application proposed replicable procedures and permit | ||||||
22 | terms that
ensure the emissions trades are | ||||||
23 | quantifiable and enforceable. The permit shall
also | ||||||
24 | require compliance with all applicable requirements.
| ||||||
25 | A. Under this subparagraph (a)(iii), the | ||||||
26 | written notification required
above shall state |
| |||||||
| |||||||
1 | when the change will occur and shall describe the | ||||||
2 | changes
in emissions that will result and how these | ||||||
3 | increases and decreases in
emissions will comply | ||||||
4 | with the terms and conditions of the permit.
| ||||||
5 | B. The permit shield described in paragraph | ||||||
6 | 7(j) of this Section shall
extend to terms and | ||||||
7 | conditions that allow such increases and decreases | ||||||
8 | in
emissions.
| ||||||
9 | b. An owner or operator of a CAAPP source may make | ||||||
10 | changes that are not
addressed or prohibited by the permit, | ||||||
11 | other than those which are subject to
any requirements | ||||||
12 | under Title IV of the Clean Air Act or are modifications | ||||||
13 | under
any provisions of Title I of the Clean Air Act, | ||||||
14 | without a permit
revision, in accordance with the following | ||||||
15 | requirements:
| ||||||
16 | (i) Each such change shall meet all applicable | ||||||
17 | requirements and shall
not violate any existing permit | ||||||
18 | term or condition;
| ||||||
19 | (ii) Sources must provide contemporaneous written | ||||||
20 | notice to the Agency
and USEPA of each such change, | ||||||
21 | except for changes that qualify as insignificant
under | ||||||
22 | provisions adopted by the Agency or the Board. Such | ||||||
23 | written notice shall
describe each such change, | ||||||
24 | including the date, any change in emissions,
| ||||||
25 | pollutants emitted, and any applicable requirement | ||||||
26 | that would apply as a result
of the change;
|
| |||||||
| |||||||
1 | (iii) The change shall not qualify for the shield | ||||||
2 | described in paragraph
7(j) of this Section; and
| ||||||
3 | (iv) The permittee shall keep a record describing | ||||||
4 | changes made at the
source that result in emissions of | ||||||
5 | a regulated air pollutant subject to an
applicable | ||||||
6 | Clean Air Act requirement, but not otherwise regulated | ||||||
7 | under the
permit, and the emissions resulting from | ||||||
8 | those changes.
| ||||||
9 | c. The Agency shall have the authority to adopt | ||||||
10 | procedural rules, in
accordance with the Illinois | ||||||
11 | Administrative Procedure Act, as the Agency
deems | ||||||
12 | necessary to implement this subsection.
| ||||||
13 | 13. Administrative Permit Amendments.
| ||||||
14 | a. The Agency shall take final action on a
request for | ||||||
15 | an administrative permit amendment within 60 days of | ||||||
16 | receipt of the
request. Neither notice nor an opportunity | ||||||
17 | for public and affected State
comment shall be required for | ||||||
18 | the Agency to incorporate such revisions,
provided it | ||||||
19 | designates the permit revisions as having been made | ||||||
20 | pursuant to
this subsection.
| ||||||
21 | b. The Agency shall submit a copy of the revised permit | ||||||
22 | to USEPA.
| ||||||
23 | c. For purposes of this Section the term | ||||||
24 | "administrative permit amendment"
shall be defined as a | ||||||
25 | permit revision that can accomplish one or more of
the
|
| |||||||
| |||||||
1 | changes described below:
| ||||||
2 | i. Corrects typographical errors;
| ||||||
3 | ii. Identifies a change in the name, address, or | ||||||
4 | phone number of any
person identified in the permit, or | ||||||
5 | provides a similar minor administrative
change at the | ||||||
6 | source;
| ||||||
7 | iii. Requires more frequent monitoring or | ||||||
8 | reporting by the permittee;
| ||||||
9 | iv. Allows for a change in ownership or operational | ||||||
10 | control of a source
where the Agency determines that no | ||||||
11 | other change in the permit is necessary,
provided that | ||||||
12 | a written agreement containing a specific date for | ||||||
13 | transfer of
permit responsibility, coverage, and | ||||||
14 | liability between the current and new
permittees has | ||||||
15 | been submitted to the Agency;
| ||||||
16 | v. Incorporates into the CAAPP permit the | ||||||
17 | requirements from
preconstruction review permits | ||||||
18 | authorized under a USEPA-approved program,
provided | ||||||
19 | the program meets procedural and compliance | ||||||
20 | requirements substantially
equivalent to those | ||||||
21 | contained in this Section;
| ||||||
22 | vi. (Blank); or
| ||||||
23 | vii. Any other type of change which USEPA has | ||||||
24 | determined as part of
the
approved CAAPP permit program | ||||||
25 | to be similar to those included in this
subsection.
| ||||||
26 | d. The Agency shall, upon taking final action granting |
| |||||||
| |||||||
1 | a request for
an administrative permit amendment, allow | ||||||
2 | coverage by the permit shield in
paragraph 7(j) of this | ||||||
3 | Section for administrative permit amendments made
pursuant | ||||||
4 | to subparagraph (c)(v) of this subsection which meet the | ||||||
5 | relevant
requirements for significant permit | ||||||
6 | modifications.
| ||||||
7 | e. Permit revisions and modifications, including | ||||||
8 | administrative amendments
and automatic amendments | ||||||
9 | (pursuant to Sections 408(b) and 403(d) of the Clean
Air | ||||||
10 | Act or regulations promulgated thereunder), for purposes | ||||||
11 | of the acid rain
portion of the permit shall be governed by | ||||||
12 | the regulations promulgated under
Title IV of the Clean Air | ||||||
13 | Act. Owners or operators of affected sources for
acid | ||||||
14 | deposition shall have the flexibility to amend their | ||||||
15 | compliance plans as
provided in the regulations | ||||||
16 | promulgated under Title IV of the Clean Air Act.
| ||||||
17 | f. The CAAPP source may implement the changes addressed | ||||||
18 | in the
request for an administrative permit amendment | ||||||
19 | immediately upon submittal of
the request.
| ||||||
20 | g. The Agency shall have the authority to adopt | ||||||
21 | procedural rules, in
accordance with the Illinois | ||||||
22 | Administrative Procedure Act, as the Agency
deems | ||||||
23 | necessary, to implement this subsection.
| ||||||
24 | 14. Permit Modifications.
| ||||||
25 | a. Minor permit modification procedures.
|
| |||||||
| |||||||
1 | i. The Agency shall review a permit modification | ||||||
2 | using the "minor
permit" modification procedures only | ||||||
3 | for those permit modifications that:
| ||||||
4 | A. Do not violate any applicable requirement;
| ||||||
5 | B. Do not involve significant changes to | ||||||
6 | existing monitoring,
reporting, or recordkeeping | ||||||
7 | requirements in the permit;
| ||||||
8 | C. Do not require a case-by-case determination | ||||||
9 | of an emission
limitation or other standard, or a | ||||||
10 | source-specific determination of ambient
impacts, | ||||||
11 | or a visibility or increment analysis;
| ||||||
12 | D. Do not seek to establish or change a permit | ||||||
13 | term or condition
for which there is no | ||||||
14 | corresponding underlying requirement and which | ||||||
15 | avoids an
applicable requirement to which the | ||||||
16 | source would otherwise be subject. Such
terms and | ||||||
17 | conditions include:
| ||||||
18 | 1. A federally enforceable emissions cap | ||||||
19 | assumed to avoid
classification as a | ||||||
20 | modification under any provision of Title I of | ||||||
21 | the Clean
Air Act; and
| ||||||
22 | 2. An alternative emissions limit approved | ||||||
23 | pursuant to regulations
promulgated under | ||||||
24 | Section 112(i)(5) of the Clean Air Act;
| ||||||
25 | E. Are not modifications under any provision | ||||||
26 | of Title I of the Clean
Air Act; and
|
| |||||||
| |||||||
1 | F. Are not required to be processed as a | ||||||
2 | significant modification.
| ||||||
3 | ii. Notwithstanding subparagraphs (a)(i) and | ||||||
4 | (b)(ii) of this subsection,
minor permit modification | ||||||
5 | procedures may be used for permit modifications
| ||||||
6 | involving the use of economic incentives, marketable | ||||||
7 | permits, emissions
trading, and other similar | ||||||
8 | approaches, to the extent that such minor permit
| ||||||
9 | modification procedures are explicitly provided for in | ||||||
10 | an applicable
implementation plan or in applicable | ||||||
11 | requirements promulgated by USEPA.
| ||||||
12 | iii. An applicant requesting the use of minor | ||||||
13 | permit modification
procedures shall meet the | ||||||
14 | requirements of subsection 5 of this Section and
shall | ||||||
15 | include the following in its application:
| ||||||
16 | A. A description of the change, the emissions | ||||||
17 | resulting from the
change,
and any new applicable | ||||||
18 | requirements that will apply if the change occurs;
| ||||||
19 | B. The source's suggested draft permit;
| ||||||
20 | C. Certification by a responsible official, | ||||||
21 | consistent with
paragraph 5(e) of this Section and | ||||||
22 | applicable regulations, that the proposed
| ||||||
23 | modification meets the criteria for use of minor | ||||||
24 | permit modification
procedures and a request that | ||||||
25 | such procedures be used; and
| ||||||
26 | D. Completed forms for the Agency to use to |
| |||||||
| |||||||
1 | notify USEPA and affected
States as required under | ||||||
2 | subsections 8 and 9 of this Section.
| ||||||
3 | iv. Within 5 working days of receipt of a complete | ||||||
4 | permit modification
application, the Agency shall | ||||||
5 | notify USEPA and affected States of the
requested | ||||||
6 | permit modification in accordance with subsections 8 | ||||||
7 | and 9 of
this Section. The Agency promptly shall send | ||||||
8 | any notice required under
paragraph 8(d) of this | ||||||
9 | Section to USEPA.
| ||||||
10 | v. The Agency may not issue a final permit | ||||||
11 | modification until after the
45-day review period for | ||||||
12 | USEPA or until USEPA has notified the Agency that
USEPA | ||||||
13 | will not object to the issuance of the permit | ||||||
14 | modification, whichever
comes first, although the | ||||||
15 | Agency can approve the permit modification prior to
| ||||||
16 | that time. Within 90 days of the Agency's receipt of an | ||||||
17 | application under the
minor permit modification | ||||||
18 | procedures or 15 days after the end of USEPA's 45-day
| ||||||
19 | review period under subsection 9 of this Section, | ||||||
20 | whichever is later, the
Agency shall:
| ||||||
21 | A. Issue the permit modification as proposed;
| ||||||
22 | B. Deny the permit modification application;
| ||||||
23 | C. Determine that the requested modification | ||||||
24 | does not meet the minor
permit modification | ||||||
25 | criteria and should be reviewed under the | ||||||
26 | significant
modification procedures; or
|
| |||||||
| |||||||
1 | D. Revise the draft permit modification and | ||||||
2 | transmit to USEPA the new
proposed permit | ||||||
3 | modification as required by subsection 9 of this | ||||||
4 | Section.
| ||||||
5 | vi. Any CAAPP source may make the change proposed | ||||||
6 | in its minor permit
modification application | ||||||
7 | immediately after it files such application. After
the | ||||||
8 | CAAPP source makes the change allowed by the preceding | ||||||
9 | sentence, and
until the Agency takes any of the actions | ||||||
10 | specified in subparagraphs
(a)(v)(A) through (a)(v)(C) | ||||||
11 | of this subsection, the source must comply with
both | ||||||
12 | the applicable requirements governing the change and | ||||||
13 | the proposed
permit terms and conditions. During this | ||||||
14 | time period, the source need not
comply with the | ||||||
15 | existing permit terms and conditions it seeks to | ||||||
16 | modify.
If the source fails to comply with its proposed | ||||||
17 | permit terms and conditions
during this time period, | ||||||
18 | the existing permit terms and conditions which it
seeks | ||||||
19 | to modify may be enforced against it.
| ||||||
20 | vii. The permit shield under subparagraph 7(j) of | ||||||
21 | this Section may not
extend to minor permit | ||||||
22 | modifications.
| ||||||
23 | viii. If a construction permit is required, | ||||||
24 | pursuant to Section 39(a) of
this Act and regulations | ||||||
25 | thereunder, for a change for which the minor
permit | ||||||
26 | modification procedures are applicable, the source may |
| |||||||
| |||||||
1 | request that
the processing of the construction permit | ||||||
2 | application be consolidated with
the processing of the | ||||||
3 | application for the minor permit modification. In
such | ||||||
4 | cases, the provisions of this Section, including those | ||||||
5 | within
subsections 5, 8, and 9, shall apply and the | ||||||
6 | Agency shall act on such
applications pursuant to | ||||||
7 | subparagraph 14(a)(v). The source may make the
| ||||||
8 | proposed change immediately after filing its | ||||||
9 | application for the minor
permit modification. Nothing | ||||||
10 | in this subparagraph shall otherwise affect
the | ||||||
11 | requirements and procedures applicable to construction | ||||||
12 | permits.
| ||||||
13 | b. Group Processing of Minor Permit Modifications.
| ||||||
14 | i. Where requested by an applicant within its | ||||||
15 | application, the
Agency shall process groups of a | ||||||
16 | source's applications for certain
modifications | ||||||
17 | eligible for minor permit modification processing in
| ||||||
18 | accordance with the provisions of this paragraph (b).
| ||||||
19 | ii. Permit modifications may be processed in | ||||||
20 | accordance with the
procedures for group processing, | ||||||
21 | for those modifications:
| ||||||
22 | A. Which meet the criteria for minor permit | ||||||
23 | modification procedures
under subparagraph | ||||||
24 | 14(a)(i) of this Section; and
| ||||||
25 | B. That collectively are below 10 percent of | ||||||
26 | the emissions allowed by
the permit for the |
| |||||||
| |||||||
1 | emissions unit for which change is requested, 20 | ||||||
2 | percent
of the applicable definition of major | ||||||
3 | source set forth in subsection 2 of
this Section, | ||||||
4 | or 5 tons per year, whichever is least.
| ||||||
5 | iii. An applicant requesting the use of group | ||||||
6 | processing procedures
shall
meet the requirements of | ||||||
7 | subsection 5 of this Section and shall include the
| ||||||
8 | following in its application:
| ||||||
9 | A. A description of the change, the emissions | ||||||
10 | resulting from the
change, and any new applicable | ||||||
11 | requirements that will apply if the change
occurs.
| ||||||
12 | B. The source's suggested draft permit.
| ||||||
13 | C. Certification by a responsible official | ||||||
14 | consistent with paragraph
5(e) of this Section, | ||||||
15 | that the proposed modification meets the criteria | ||||||
16 | for
use of group processing procedures and a | ||||||
17 | request that such procedures be used.
| ||||||
18 | D. A list of the source's other pending | ||||||
19 | applications awaiting group
processing, and a | ||||||
20 | determination of whether the requested | ||||||
21 | modification,
aggregated with these other | ||||||
22 | applications, equals or exceeds the threshold
set | ||||||
23 | under subparagraph (b)(ii)(B) of this subsection.
| ||||||
24 | E. Certification, consistent with paragraph | ||||||
25 | 5(e), that the source has
notified USEPA of the | ||||||
26 | proposed modification. Such notification need only
|
| |||||||
| |||||||
1 | contain a brief description of the requested | ||||||
2 | modification.
| ||||||
3 | F. Completed forms for the Agency to use to | ||||||
4 | notify USEPA and affected
states as required under | ||||||
5 | subsections 8 and 9 of this Section.
| ||||||
6 | iv. On a quarterly basis or within 5 business days | ||||||
7 | of receipt of an
application demonstrating that the | ||||||
8 | aggregate of a source's pending
applications equals or | ||||||
9 | exceeds the threshold level set forth within
| ||||||
10 | subparagraph (b)(ii)(B) of this subsection, whichever | ||||||
11 | is earlier, the
Agency shall promptly notify USEPA and | ||||||
12 | affected States of the requested
permit modifications | ||||||
13 | in accordance with subsections 8 and 9 of this
Section. | ||||||
14 | The Agency shall send any notice required under | ||||||
15 | paragraph 8(d) of
this Section to USEPA.
| ||||||
16 | v. The provisions of subparagraph (a)(v) of this | ||||||
17 | subsection shall apply
to modifications eligible for | ||||||
18 | group processing, except that the Agency
shall take one | ||||||
19 | of the actions specified in subparagraphs (a)(v)(A) | ||||||
20 | through
(a)(v)(D) of this subsection within 180 days of | ||||||
21 | receipt of the application
or 15 days after the end of | ||||||
22 | USEPA's 45-day review period under subsection 9
of this | ||||||
23 | Section, whichever is later.
| ||||||
24 | vi. The provisions of subparagraph (a)(vi) of this | ||||||
25 | subsection shall
apply to modifications for group | ||||||
26 | processing.
|
| |||||||
| |||||||
1 | vii. The provisions of paragraph 7(j) of this | ||||||
2 | Section shall not
apply to
modifications eligible for | ||||||
3 | group processing.
| ||||||
4 | c. Significant Permit Modifications.
| ||||||
5 | i. Significant modification procedures shall be | ||||||
6 | used for applications
requesting significant permit | ||||||
7 | modifications and for those applications that do
not | ||||||
8 | qualify as either minor permit modifications or as | ||||||
9 | administrative permit
amendments.
| ||||||
10 | ii. Every significant change in existing | ||||||
11 | monitoring permit terms or
conditions and every | ||||||
12 | relaxation of reporting or recordkeeping requirements
| ||||||
13 | shall be considered significant. A modification shall | ||||||
14 | also be considered
significant if in the judgment of | ||||||
15 | the Agency action on an application for
modification | ||||||
16 | would require decisions to be made on technically | ||||||
17 | complex issues.
Nothing herein shall be construed to | ||||||
18 | preclude the permittee from making changes
consistent | ||||||
19 | with this Section that would render existing permit | ||||||
20 | compliance terms
and conditions irrelevant.
| ||||||
21 | iii. Significant permit modifications must meet | ||||||
22 | all the requirements of
this Section, including those | ||||||
23 | for applications (including completeness review),
| ||||||
24 | public participation, review by affected States, and | ||||||
25 | review by USEPA applicable
to initial permit issuance | ||||||
26 | and permit renewal. The Agency shall take final
action |
| |||||||
| |||||||
1 | on significant permit modifications within 9 months | ||||||
2 | after receipt of a
complete application.
| ||||||
3 | d. The Agency shall have the authority to adopt | ||||||
4 | procedural rules, in
accordance with the Illinois | ||||||
5 | Administrative Procedure Act, as the Agency deems
| ||||||
6 | necessary, to implement this subsection.
| ||||||
7 | 15. Reopenings for Cause by the Agency.
| ||||||
8 | a. Each issued CAAPP permit shall include provisions | ||||||
9 | specifying the
conditions under which the permit will be | ||||||
10 | reopened prior to the expiration of
the permit. Such | ||||||
11 | revisions shall be made as expeditiously as practicable. A
| ||||||
12 | CAAPP permit shall be reopened and revised under any of the | ||||||
13 | following
circumstances, in accordance with procedures | ||||||
14 | adopted by the Agency:
| ||||||
15 | i. Additional requirements under the Clean Air Act | ||||||
16 | become applicable to
a major CAAPP source for which 3 | ||||||
17 | or more years remain on the original term of
the | ||||||
18 | permit. Such a reopening shall be completed not later | ||||||
19 | than 18 months after
the promulgation of the applicable | ||||||
20 | requirement. No such revision is required
if the | ||||||
21 | effective date of the requirement is later than the | ||||||
22 | date on which the
permit is due to expire.
| ||||||
23 | ii. Additional requirements (including excess | ||||||
24 | emissions requirements)
become applicable to an | ||||||
25 | affected source for acid deposition under the acid rain
|
| |||||||
| |||||||
1 | program. Excess emissions offset plans shall be deemed | ||||||
2 | to be incorporated into
the permit upon approval by | ||||||
3 | USEPA.
| ||||||
4 | iii. The Agency or USEPA determines that the permit | ||||||
5 | contains a material
mistake or that inaccurate | ||||||
6 | statements were made in establishing the emissions
| ||||||
7 | standards, limitations, or other terms or conditions | ||||||
8 | of the permit.
| ||||||
9 | iv. The Agency or USEPA determines that the permit | ||||||
10 | must be revised or
revoked to assure compliance with | ||||||
11 | the applicable requirements.
| ||||||
12 | b. In the event that the Agency determines that there | ||||||
13 | are grounds for
revoking a CAAPP permit, for cause, | ||||||
14 | consistent with paragraph a of this
subsection, it shall | ||||||
15 | file a petition before the Board
setting forth the basis | ||||||
16 | for such revocation. In any such proceeding, the
Agency | ||||||
17 | shall have the burden of establishing that the permit | ||||||
18 | should be
revoked under the standards set forth in this Act | ||||||
19 | and the Clean Air Act.
Any such proceeding shall be | ||||||
20 | conducted pursuant to the Board's procedures
for | ||||||
21 | adjudicatory hearings and the Board shall render its | ||||||
22 | decision within
120 days of the filing of the petition. The | ||||||
23 | Agency shall take final action to
revoke and reissue a | ||||||
24 | CAAPP permit consistent with the Board's order.
| ||||||
25 | c. Proceedings regarding a reopened CAAPP permit shall | ||||||
26 | follow the same
procedures as apply to initial permit |
| |||||||
| |||||||
1 | issuance and shall affect only those
parts of the permit | ||||||
2 | for which cause to reopen exists.
| ||||||
3 | d. Reopenings under paragraph (a) of this subsection | ||||||
4 | shall not be
initiated before a notice of such intent is | ||||||
5 | provided to the CAAPP source by the
Agency at least 30 days | ||||||
6 | in advance of the date that the permit is to be
reopened, | ||||||
7 | except that the Agency may provide a shorter time period in | ||||||
8 | the case
of an emergency.
| ||||||
9 | e. The Agency shall have the authority to adopt | ||||||
10 | procedural rules, in
accordance with the Illinois | ||||||
11 | Administrative Procedure Act, as the Agency deems
| ||||||
12 | necessary, to implement this subsection.
| ||||||
13 | 16. Reopenings for Cause by USEPA.
| ||||||
14 | a. When USEPA finds that cause exists to terminate, | ||||||
15 | modify, or revoke and
reissue a CAAPP permit pursuant to | ||||||
16 | subsection 15 of this Section, and
thereafter notifies the | ||||||
17 | Agency and the permittee of such finding in writing,
the | ||||||
18 | Agency shall forward to USEPA and the permittee a proposed | ||||||
19 | determination of
termination, modification, or revocation | ||||||
20 | and reissuance as appropriate, in
accordance with | ||||||
21 | paragraph b of this subsection. The Agency's proposed
| ||||||
22 | determination shall be in accordance with the record, the | ||||||
23 | Clean Air Act,
regulations promulgated thereunder, this | ||||||
24 | Act and regulations promulgated
thereunder. Such proposed | ||||||
25 | determination shall not affect the permit or
constitute a |
| |||||||
| |||||||
1 | final permit action for purposes of this Act or the | ||||||
2 | Administrative
Review Law. The Agency shall forward to | ||||||
3 | USEPA such proposed determination
within 90 days after | ||||||
4 | receipt of the notification from USEPA. If additional time
| ||||||
5 | is necessary to submit the proposed determination, the | ||||||
6 | Agency shall request a
90-day extension from USEPA and | ||||||
7 | shall submit the proposed determination within
180 days of | ||||||
8 | receipt of notification from USEPA.
| ||||||
9 | b. i. Prior to the Agency's submittal to USEPA of a | ||||||
10 | proposed
determination to terminate or revoke and | ||||||
11 | reissue the permit, the Agency shall
file a petition | ||||||
12 | before the Board setting forth USEPA's objection, the | ||||||
13 | permit
record, the Agency's proposed determination, | ||||||
14 | and the justification for its
proposed determination. | ||||||
15 | The Board shall conduct a hearing pursuant to the rules
| ||||||
16 | prescribed by Section 32 of this Act, and the burden of | ||||||
17 | proof shall be on the
Agency.
| ||||||
18 | ii. After due consideration of the written and oral | ||||||
19 | statements, the
testimony and arguments that shall be | ||||||
20 | submitted at hearing, the Board shall
issue and enter | ||||||
21 | an interim order for the proposed determination, which | ||||||
22 | shall
set forth all changes, if any, required in the | ||||||
23 | Agency's proposed determination.
The interim order | ||||||
24 | shall comply with the requirements for final orders as | ||||||
25 | set
forth in Section 33 of this Act. Issuance of an | ||||||
26 | interim order by the Board
under this paragraph, |
| |||||||
| |||||||
1 | however, shall not affect the permit status and does | ||||||
2 | not
constitute a final action for purposes of this Act | ||||||
3 | or the Administrative Review
Law.
| ||||||
4 | iii. The Board shall cause a copy of its interim | ||||||
5 | order to be served upon
all parties to the proceeding | ||||||
6 | as well as upon USEPA. The Agency shall submit
the | ||||||
7 | proposed determination to USEPA in accordance with the | ||||||
8 | Board's Interim
Order within 180 days after receipt of | ||||||
9 | the notification from USEPA.
| ||||||
10 | c. USEPA shall review the proposed determination to | ||||||
11 | terminate,
modify, or revoke and reissue the permit within | ||||||
12 | 90 days of receipt.
| ||||||
13 | i. When USEPA reviews the proposed determination | ||||||
14 | to terminate or revoke
and reissue and does not object, | ||||||
15 | the Board shall, within 7 days of receipt of
USEPA's | ||||||
16 | final approval, enter the interim order as a final | ||||||
17 | order. The final
order may be appealed as provided by | ||||||
18 | Title XI of this Act. The Agency shall
take final | ||||||
19 | action in accordance with the Board's final order.
| ||||||
20 | ii. When USEPA reviews such proposed determination
| ||||||
21 | to terminate or revoke and reissue and objects, the | ||||||
22 | Agency shall submit
USEPA's objection and the Agency's | ||||||
23 | comments and recommendation on the objection
to the | ||||||
24 | Board and permittee. The Board shall review its interim | ||||||
25 | order in
response to USEPA's objection and the Agency's | ||||||
26 | comments and recommendation and
issue a final order in |
| |||||||
| |||||||
1 | accordance with Sections 32 and 33 of this Act. The
| ||||||
2 | Agency shall, within 90 days after receipt of such | ||||||
3 | objection, respond to
USEPA's objection in accordance | ||||||
4 | with the Board's final order.
| ||||||
5 | iii. When USEPA reviews such proposed | ||||||
6 | determination to modify and
objects, the Agency shall, | ||||||
7 | within 90 days after receipt of the objection,
resolve | ||||||
8 | the objection and modify the permit in accordance with | ||||||
9 | USEPA's
objection, based upon the record, the Clean Air | ||||||
10 | Act, regulations promulgated
thereunder, this Act, and | ||||||
11 | regulations promulgated thereunder.
| ||||||
12 | d. If the Agency fails to submit the proposed | ||||||
13 | determination pursuant to
paragraph a of this subsection or | ||||||
14 | fails to resolve any USEPA objection
pursuant to paragraph | ||||||
15 | c of this subsection, USEPA will terminate, modify, or
| ||||||
16 | revoke and reissue the permit.
| ||||||
17 | e. The Agency shall have the authority to adopt | ||||||
18 | procedural rules, in
accordance with the Illinois | ||||||
19 | Administrative Procedure Act, as the Agency deems
| ||||||
20 | necessary, to implement this subsection.
| ||||||
21 | 17. Title IV; Acid Rain Provisions.
| ||||||
22 | a. The Agency shall act on initial CAAPP applications | ||||||
23 | for affected
sources for acid deposition in accordance with | ||||||
24 | this Section and Title V of
the Clean Air Act and | ||||||
25 | regulations promulgated thereunder, except as
modified by |
| |||||||
| |||||||
1 | Title IV of the Clean Air Act and regulations promulgated
| ||||||
2 | thereunder. The Agency shall issue initial CAAPP permits to | ||||||
3 | the affected
sources for acid deposition which shall become | ||||||
4 | effective no earlier than
January 1, 1995, and which shall | ||||||
5 | terminate on December 31, 1999, in
accordance with this | ||||||
6 | Section. Subsequent CAAPP permits issued to affected
| ||||||
7 | sources for acid deposition shall be issued for a fixed | ||||||
8 | term of 5 years.
Title IV of the Clean Air Act and | ||||||
9 | regulations promulgated thereunder,
including but not | ||||||
10 | limited to 40 C.F.R. Part 72, as now or hereafter amended,
| ||||||
11 | are
applicable to and enforceable under this Act.
| ||||||
12 | b. A designated representative of an affected source | ||||||
13 | for acid deposition
shall submit a timely and complete | ||||||
14 | Phase II acid rain permit application and
compliance plan | ||||||
15 | to the Agency, not later than January 1, 1996, that meets | ||||||
16 | the
requirements of Titles IV and V of the Clean Air Act | ||||||
17 | and regulations. The
Agency shall act on the Phase II acid | ||||||
18 | rain permit application and compliance
plan in accordance | ||||||
19 | with this Section and Title V of the Clean Air Act and
| ||||||
20 | regulations promulgated thereunder, except as modified by | ||||||
21 | Title IV of the Clean
Air Act and regulations promulgated | ||||||
22 | thereunder. The Agency shall issue the
Phase II acid rain | ||||||
23 | permit to an affected source for acid deposition no later
| ||||||
24 | than December 31, 1997, which shall become effective on | ||||||
25 | January 1, 2000, in
accordance with this Section, except as | ||||||
26 | modified by Title IV and regulations
promulgated |
| |||||||
| |||||||
1 | thereunder; provided that the designated representative of | ||||||
2 | the
source submitted a timely and complete Phase II permit | ||||||
3 | application and
compliance plan to the Agency that meets | ||||||
4 | the requirements of Title IV and V of
the Clean Air Act and | ||||||
5 | regulations.
| ||||||
6 | c. Each Phase II acid rain permit issued in accordance | ||||||
7 | with this
subsection shall have a fixed term of 5 years. | ||||||
8 | Except as provided in paragraph
b above, the Agency shall | ||||||
9 | issue or deny a Phase II acid rain permit within 18
months | ||||||
10 | of receiving a complete Phase II permit application and | ||||||
11 | compliance plan.
| ||||||
12 | d. A designated representative of a new unit, as | ||||||
13 | defined in Section 402 of
the Clean Air Act, shall submit a | ||||||
14 | timely and complete Phase II acid rain permit
application | ||||||
15 | and compliance plan that meets the requirements of Titles | ||||||
16 | IV and V
of the Clean Air Act and its regulations. The | ||||||
17 | Agency shall act on the new
unit's Phase II acid rain | ||||||
18 | permit application and compliance plan in accordance
with | ||||||
19 | this Section and Title V of the Clean Air Act and its | ||||||
20 | regulations, except
as modified by Title IV of the Clean | ||||||
21 | Air Act and its regulations. The Agency
shall reopen the | ||||||
22 | new unit's CAAPP permit for cause to incorporate the | ||||||
23 | approved
Phase II acid rain permit in accordance with this | ||||||
24 | Section. The Phase II acid
rain permit for the new unit | ||||||
25 | shall become effective no later than the date
required | ||||||
26 | under Title IV of the Clean Air Act and its regulations.
|
| |||||||
| |||||||
1 | e. A designated representative of an affected source | ||||||
2 | for acid deposition
shall submit a timely and complete | ||||||
3 | Title IV NOx permit application to the
Agency, not later | ||||||
4 | than January 1, 1998, that meets the requirements of Titles
| ||||||
5 | IV and V of the Clean Air Act and its regulations. The | ||||||
6 | Agency shall reopen the
Phase II acid rain permit for cause | ||||||
7 | and incorporate the approved NOx provisions
into the Phase | ||||||
8 | II acid rain permit not later than January 1, 1999, in
| ||||||
9 | accordance with this Section, except as modified by Title | ||||||
10 | IV of the Clean Air
Act and regulations promulgated | ||||||
11 | thereunder. Such reopening shall not affect the
term of the | ||||||
12 | Phase II acid rain permit.
| ||||||
13 | f. The designated representative of the affected | ||||||
14 | source for acid
deposition shall renew the initial CAAPP | ||||||
15 | permit and Phase II acid rain permit
in accordance with | ||||||
16 | this Section and Title V of the Clean Air Act and
| ||||||
17 | regulations promulgated thereunder, except as modified by | ||||||
18 | Title IV of the Clean
Air Act and regulations promulgated | ||||||
19 | thereunder.
| ||||||
20 | g. In the case of an affected source for acid | ||||||
21 | deposition for which a
complete Phase II acid rain permit | ||||||
22 | application and compliance plan are timely
received under | ||||||
23 | this subsection, the complete permit application and | ||||||
24 | compliance
plan, including amendments thereto, shall be | ||||||
25 | binding on the owner, operator and
designated | ||||||
26 | representative, all affected units for acid deposition at |
| |||||||
| |||||||
1 | the
affected source, and any other unit, as defined in | ||||||
2 | Section 402 of the Clean Air
Act, governed by the Phase II | ||||||
3 | acid rain permit application and shall be
enforceable as an | ||||||
4 | acid rain permit for purposes of Titles IV and V of the | ||||||
5 | Clean
Air Act, from the date of submission of the acid rain | ||||||
6 | permit application until
a Phase II acid rain permit is | ||||||
7 | issued or denied by the Agency.
| ||||||
8 | h. The Agency shall not include or implement any | ||||||
9 | measure which would
interfere with or modify the | ||||||
10 | requirements of Title IV of the Clean Air Act
or | ||||||
11 | regulations promulgated thereunder.
| ||||||
12 | i. Nothing in this Section shall be construed as | ||||||
13 | affecting allowances or
USEPA's decision regarding an | ||||||
14 | excess emissions offset plan, as set forth in
Title IV of | ||||||
15 | the Clean Air Act or regulations promulgated thereunder.
| ||||||
16 | i. No permit revision shall be required for | ||||||
17 | increases in emissions that
are authorized by | ||||||
18 | allowances acquired pursuant to the acid rain program,
| ||||||
19 | provided that such increases do not require a permit | ||||||
20 | revision under any other
applicable requirement.
| ||||||
21 | ii. No limit shall be placed on the number of | ||||||
22 | allowances held by the
source. The source may not, | ||||||
23 | however, use allowances as a defense to
noncompliance | ||||||
24 | with any other applicable requirement.
| ||||||
25 | iii. Any such allowance shall be accounted for | ||||||
26 | according to the
procedures established in regulations |
| |||||||
| |||||||
1 | promulgated under Title IV of the Clean
Air Act.
| ||||||
2 | j. To the extent that the federal regulations | ||||||
3 | promulgated under Title
IV,
including but not limited to 40 | ||||||
4 | C.F.R. Part 72, as now or hereafter amended,
are | ||||||
5 | inconsistent with the federal regulations promulgated | ||||||
6 | under Title V, the
federal regulations promulgated under | ||||||
7 | Title IV shall take precedence.
| ||||||
8 | k. The USEPA may intervene as a matter of right in any | ||||||
9 | permit appeal
involving a Phase II acid rain permit | ||||||
10 | provision or denial of a Phase II acid
rain permit.
| ||||||
11 | l. It is unlawful for any owner or operator
to violate | ||||||
12 | any terms or conditions of a Phase II acid rain permit
| ||||||
13 | issued under this subsection, to operate any affected | ||||||
14 | source for acid
deposition except in compliance with a | ||||||
15 | Phase II acid rain permit issued by the
Agency under this | ||||||
16 | subsection, or to violate any other applicable | ||||||
17 | requirements.
| ||||||
18 | m. The designated representative of an affected source | ||||||
19 | for acid
deposition shall submit to the Agency the data and | ||||||
20 | information submitted
quarterly to USEPA, pursuant to 40 | ||||||
21 | CFR 75.64, concurrently with the submission
to USEPA. The | ||||||
22 | submission shall be in the same electronic format as | ||||||
23 | specified by
USEPA.
| ||||||
24 | n. The Agency shall act on any petition for exemption | ||||||
25 | of a new unit or
retired unit, as those terms are defined | ||||||
26 | in Section 402 of the Clean Air Act,
from the requirements |
| |||||||
| |||||||
1 | of the acid rain program in accordance with Title IV of
the | ||||||
2 | Clean Air Act and its regulations.
| ||||||
3 | o. The Agency shall have the authority to adopt | ||||||
4 | procedural rules, in
accordance with the Illinois | ||||||
5 | Administrative Procedure Act, as the Agency
deems | ||||||
6 | necessary to implement this subsection.
| ||||||
7 | 18. Fee Provisions.
| ||||||
8 | a. For each 12 month period after the date on which the | ||||||
9 | USEPA approves
or conditionally approves the CAAPP, but in | ||||||
10 | no event prior to January 1, 1994,
a source subject to this | ||||||
11 | Section or excluded under subsection 1.1 or paragraph
3(c) | ||||||
12 | of this Section, shall pay a fee as provided in this part | ||||||
13 | (a) of this
subsection 18. However, a source that has been | ||||||
14 | excluded from the provisions
of this Section under | ||||||
15 | subsection 1.1 or paragraph 3(c) of this Section
because | ||||||
16 | the source emits less than 25 tons per year of any | ||||||
17 | combination of
regulated air pollutants shall pay fees in | ||||||
18 | accordance with paragraph (1) of
subsection (b) of Section | ||||||
19 | 9.6.
| ||||||
20 | i. The fee for a source allowed to emit less than | ||||||
21 | 100 tons per year
of any combination of regulated air | ||||||
22 | pollutants shall be $1,000
$1,800
per year.
| ||||||
23 | ii. The fee for a source allowed to emit 100 tons | ||||||
24 | or more per year of
any combination of regulated air | ||||||
25 | pollutants, except for those regulated air
pollutants |
| |||||||
| |||||||
1 | excluded in paragraph 18(f) of this subsection, shall | ||||||
2 | be as follows:
| ||||||
3 | A. The Agency shall assess an annual fee of | ||||||
4 | $13.50
$18.00 per
ton for
the allowable emissions | ||||||
5 | of all regulated air pollutants at that source
| ||||||
6 | during the term of the permit. These fees shall be | ||||||
7 | used by the Agency and
the Board to
fund the | ||||||
8 | activities required by Title V of the Clean Air Act | ||||||
9 | including such
activities as may be carried out by | ||||||
10 | other State or local agencies pursuant to
| ||||||
11 | paragraph
(d) of this subsection. The amount of | ||||||
12 | such fee shall be based on
the
information supplied | ||||||
13 | by the applicant in its complete CAAPP permit
| ||||||
14 | application or in the CAAPP permit if the permit | ||||||
15 | has been granted and shall be
determined by the | ||||||
16 | amount of emissions that the source is allowed to | ||||||
17 | emit
annually, provided however, that no source | ||||||
18 | shall be required to pay an annual
fee in excess of | ||||||
19 | $100,000
$250,000 . The Agency shall provide as | ||||||
20 | part
of the permit
application form required under | ||||||
21 | subsection 5 of this Section a separate fee
| ||||||
22 | calculation form which will allow the applicant to | ||||||
23 | identify the allowable
emissions and calculate the | ||||||
24 | fee for the term of the permit. In no event
shall | ||||||
25 | the Agency raise the amount of allowable emissions | ||||||
26 | requested by the
applicant unless such increases |
| |||||||
| |||||||
1 | are required to demonstrate compliance with
terms | ||||||
2 | of a CAAPP permit.
| ||||||
3 | Notwithstanding the above, any applicant may | ||||||
4 | seek a change in its
permit which would result in | ||||||
5 | increases in allowable emissions due to an
| ||||||
6 | increase in the hours of operation or production | ||||||
7 | rates of an emission unit
or units and such a | ||||||
8 | change shall be consistent with the
construction | ||||||
9 | permit requirements of the existing State permit | ||||||
10 | program, under
Section 39(a) of this Act and | ||||||
11 | applicable provisions of this Section. Where a
| ||||||
12 | construction permit is required, the Agency shall | ||||||
13 | expeditiously grant such
construction permit and | ||||||
14 | shall, if necessary, modify the CAAPP permit based | ||||||
15 | on
the same application.
| ||||||
16 | B. The applicant or
permittee may pay the fee | ||||||
17 | annually or semiannually for those fees
greater | ||||||
18 | than $5,000.
However, any applicant paying a fee | ||||||
19 | equal to or greater than $100,000 shall
pay the | ||||||
20 | full amount on July 1, for the subsequent fiscal | ||||||
21 | year, or pay 50% of
the fee on July 1 and the | ||||||
22 | remaining 50% by the next January 1. The Agency may
| ||||||
23 | change any annual billing date upon reasonable | ||||||
24 | notice, but shall prorate the
new bill so that the | ||||||
25 | permittee or applicant does not pay more than its | ||||||
26 | required
fees for the fee period for which payment |
| |||||||
| |||||||
1 | is made.
| ||||||
2 | b. (Blank).
| ||||||
3 | c. (Blank).
| ||||||
4 | d. There is hereby created in the State Treasury a | ||||||
5 | special fund to be
known as the "CAA Permit Fund". All | ||||||
6 | Funds collected by the Agency pursuant
to this subsection | ||||||
7 | shall be deposited into the Fund. The General Assembly
| ||||||
8 | shall appropriate monies from this Fund to the Agency and | ||||||
9 | to the Board to
carry out their obligations under this | ||||||
10 | Section. The General Assembly may
also authorize monies to | ||||||
11 | be granted by the Agency from this Fund to other
State and | ||||||
12 | local agencies which perform duties related to the CAAPP.
| ||||||
13 | Interest generated on the monies deposited in this Fund | ||||||
14 | shall be returned to
the Fund.
| ||||||
15 | e. The Agency shall have the authority to adopt | ||||||
16 | procedural rules, in
accordance with the Illinois | ||||||
17 | Administrative Procedure Act, as the Agency
deems | ||||||
18 | necessary to implement this subsection.
| ||||||
19 | f. For purposes of this subsection, the term "regulated | ||||||
20 | air pollutant"
shall have the meaning given to it under | ||||||
21 | subsection 1 of this Section but
shall exclude the | ||||||
22 | following:
| ||||||
23 | i. carbon monoxide;
| ||||||
24 | ii. any Class I or II substance which is a | ||||||
25 | regulated air pollutant
solely because it is listed | ||||||
26 | pursuant to Section 602 of the Clean Air Act;
and
|
| |||||||
| |||||||
1 | iii. any pollutant that is a regulated air | ||||||
2 | pollutant solely because
it is subject to a standard or | ||||||
3 | regulation under Section 112(r) of the Clean
Air Act | ||||||
4 | based on the emissions allowed in the permit effective | ||||||
5 | in that
calendar year, at the time the applicable bill | ||||||
6 | is generated.
| ||||||
7 | 19. Air Toxics Provisions.
| ||||||
8 | a. In the event that the USEPA fails to promulgate in a | ||||||
9 | timely manner
a standard pursuant to Section 112(d) of the | ||||||
10 | Clean Air Act, the Agency
shall have the authority to issue | ||||||
11 | permits, pursuant to Section 112(j) of
the Clean Air Act | ||||||
12 | and regulations promulgated thereunder, which contain
| ||||||
13 | emission limitations which are equivalent to the emission | ||||||
14 | limitations that
would apply to a source if an emission | ||||||
15 | standard had been
promulgated in a timely manner by USEPA | ||||||
16 | pursuant to Section 112(d).
Provided, however, that the | ||||||
17 | owner or operator of a source shall have the
opportunity to | ||||||
18 | submit to the Agency a proposed emission limitation which | ||||||
19 | it
determines to be equivalent to the emission limitations | ||||||
20 | that would apply to
such source if an emission standard had | ||||||
21 | been promulgated in a timely manner
by USEPA. If the Agency | ||||||
22 | refuses to include the emission limitation
proposed by the | ||||||
23 | owner or operator in a CAAPP permit, the owner or operator
| ||||||
24 | may petition the Board to establish whether the emission | ||||||
25 | limitation
proposal submitted by the owner or operator |
| |||||||
| |||||||
1 | provides for emission
limitations which are equivalent to | ||||||
2 | the emission limitations that would
apply to the source if | ||||||
3 | the emission standard had been promulgated by USEPA
in a | ||||||
4 | timely manner. The Board shall determine whether the | ||||||
5 | emission
limitation proposed by the owner or operator or an | ||||||
6 | alternative emission
limitation proposed by the Agency | ||||||
7 | provides for the level of control
required under Section | ||||||
8 | 112 of the Clean Air Act, or shall otherwise
establish an | ||||||
9 | appropriate emission limitation, pursuant to Section 112 | ||||||
10 | of
the Clean Air Act.
| ||||||
11 | b. Any Board proceeding brought under paragraph (a) or | ||||||
12 | (e)
of this subsection shall be conducted according to the | ||||||
13 | Board's
procedures for adjudicatory hearings and the Board | ||||||
14 | shall render its
decision within 120 days of the filing of | ||||||
15 | the petition. Any such decision
shall be subject to review | ||||||
16 | pursuant to Section 41 of this Act. Where
USEPA promulgates | ||||||
17 | an applicable emission standard prior to the issuance of
| ||||||
18 | the CAAPP permit, the Agency shall include in the permit | ||||||
19 | the promulgated
standard, provided that the source shall | ||||||
20 | have the compliance period
provided under Section 112(i) of | ||||||
21 | the Clean Air Act. Where USEPA promulgates an
applicable | ||||||
22 | standard subsequent to the issuance of the CAAPP permit, | ||||||
23 | the Agency
shall revise such permit upon the next renewal | ||||||
24 | to reflect the promulgated
standard, providing a | ||||||
25 | reasonable time for the applicable source to comply with
| ||||||
26 | the standard, but no longer than 8 years after the date on |
| |||||||
| |||||||
1 | which the source is
first required to comply with the | ||||||
2 | emissions limitation established under this
subsection.
| ||||||
3 | c. The Agency shall have the authority to implement and | ||||||
4 | enforce complete
or partial emission standards promulgated | ||||||
5 | by USEPA pursuant to Section 112(d),
and standards | ||||||
6 | promulgated by USEPA pursuant to Sections 112(f), 112(h), | ||||||
7 | 112(m),
and 112(n), and may accept delegation of authority | ||||||
8 | from USEPA to implement and
enforce Section 112(l) and | ||||||
9 | requirements for the prevention and detection of
| ||||||
10 | accidental releases pursuant to Section 112(r) of the Clean | ||||||
11 | Air Act.
| ||||||
12 | d. The Agency shall have the authority to issue permits | ||||||
13 | pursuant to
Section 112(i)(5) of the Clean Air Act.
| ||||||
14 | e. The Agency has the authority to implement Section | ||||||
15 | 112(g) of
the Clean Air Act consistent with the Clean Air | ||||||
16 | Act and federal regulations
promulgated thereunder. If the | ||||||
17 | Agency refuses to include the emission
limitations | ||||||
18 | proposed in an application submitted by an owner or | ||||||
19 | operator for a
case-by-case maximum achievable control | ||||||
20 | technology (MACT) determination, the
owner or operator may | ||||||
21 | petition the Board to determine whether the emission
| ||||||
22 | limitation proposed by the owner or operator or an | ||||||
23 | alternative emission
limitation proposed by the Agency | ||||||
24 | provides for a level of control required by
Section 112 of | ||||||
25 | the Clean Air Act, or to otherwise establish an appropriate
| ||||||
26 | emission limitation under Section 112 of the Clean Air Act.
|
| |||||||
| |||||||
1 | 20. Small Business.
| ||||||
2 | a. For purposes of this subsection:
| ||||||
3 | "Program" is the Small Business Stationary Source | ||||||
4 | Technical and
Environmental Compliance Assistance Program | ||||||
5 | created within this State pursuant
to Section 507 of the | ||||||
6 | Clean Air Act and guidance promulgated thereunder, to
| ||||||
7 | provide technical assistance and compliance information to | ||||||
8 | small business
stationary sources;
| ||||||
9 | "Small Business Assistance Program" is a component of | ||||||
10 | the Program
responsible for providing sufficient | ||||||
11 | communications with small businesses
through the | ||||||
12 | collection and dissemination of information to small | ||||||
13 | business
stationary sources; and
| ||||||
14 | "Small Business Stationary Source" means a stationary | ||||||
15 | source that:
| ||||||
16 | 1. is owned or operated by a person that employs | ||||||
17 | 100 or fewer
individuals;
| ||||||
18 | 2. is a small business concern as defined in the | ||||||
19 | "Small Business Act";
| ||||||
20 | 3. is not a major source as that term is defined in | ||||||
21 | subsection 2 of this
Section;
| ||||||
22 | 4. does not emit 50 tons or more per year of any | ||||||
23 | regulated air
pollutant; and
| ||||||
24 | 5. emits less than 75 tons per year of all | ||||||
25 | regulated pollutants.
|
| |||||||
| |||||||
1 | b. The Agency shall adopt and submit to USEPA, after | ||||||
2 | reasonable notice and
opportunity for public comment, as a | ||||||
3 | revision to the Illinois state
implementation plan, plans | ||||||
4 | for establishing the Program.
| ||||||
5 | c. The Agency shall have the authority to enter into | ||||||
6 | such contracts
and agreements as the Agency deems necessary | ||||||
7 | to carry out the purposes of
this subsection.
| ||||||
8 | d. The Agency may establish such procedures as it may | ||||||
9 | deem necessary
for the purposes of implementing and | ||||||
10 | executing its responsibilities under
this subsection.
| ||||||
11 | e. There shall be appointed a Small Business Ombudsman | ||||||
12 | (hereinafter in
this subsection referred to as | ||||||
13 | "Ombudsman") to monitor the Small Business
Assistance | ||||||
14 | Program. The Ombudsman shall be a nonpartisan designated | ||||||
15 | official,
with the ability to independently assess whether | ||||||
16 | the goals of the Program are
being met.
| ||||||
17 | f. The State Ombudsman Office shall be located in an | ||||||
18 | existing Ombudsman
office within the State or in any State | ||||||
19 | Department.
| ||||||
20 | g. There is hereby created a State Compliance Advisory | ||||||
21 | Panel (hereinafter
in this subsection referred to as | ||||||
22 | "Panel") for determining the overall
effectiveness of the | ||||||
23 | Small Business Assistance Program within this State.
| ||||||
24 | h. The selection of Panel members shall be by the | ||||||
25 | following method:
| ||||||
26 | 1. The Governor shall select two members who are |
| |||||||
| |||||||
1 | not owners or
representatives of owners of small | ||||||
2 | business stationary sources to represent the
general | ||||||
3 | public;
| ||||||
4 | 2. The Director of the Agency shall select one | ||||||
5 | member to represent the
Agency; and
| ||||||
6 | 3. The State Legislature shall select four members | ||||||
7 | who are owners or
representatives of owners of small | ||||||
8 | business stationary sources. Both the
majority and | ||||||
9 | minority leadership in both Houses of the Legislature | ||||||
10 | shall
appoint one member of the panel.
| ||||||
11 | i. Panel members should serve without compensation but | ||||||
12 | will receive full
reimbursement for expenses including | ||||||
13 | travel and per diem as authorized within
this State.
| ||||||
14 | j. The Panel shall select its own Chair by a majority | ||||||
15 | vote. The Chair may
meet and consult with the Ombudsman and | ||||||
16 | the head of the Small Business
Assistance Program in | ||||||
17 | planning the activities for the Panel.
| ||||||
18 | 21. Temporary Sources.
| ||||||
19 | a. The Agency may issue a single permit authorizing | ||||||
20 | emissions from similar
operations by the same source owner | ||||||
21 | or operator at multiple temporary
locations, except for | ||||||
22 | sources which are affected sources for acid deposition
| ||||||
23 | under Title IV of the Clean Air Act.
| ||||||
24 | b. The applicant must demonstrate that the operation is | ||||||
25 | temporary and will
involve at least one change of location |
| |||||||
| |||||||
1 | during the term of the permit.
| ||||||
2 | c. Any such permit shall meet all applicable | ||||||
3 | requirements of this Section
and applicable regulations, | ||||||
4 | and include conditions assuring compliance with all
| ||||||
5 | applicable requirements at all authorized locations and | ||||||
6 | requirements that the
owner or operator notify the Agency | ||||||
7 | at least 10 days in advance of each change
in location.
| ||||||
8 | 22. Solid Waste Incineration Units.
| ||||||
9 | a. A CAAPP permit for a solid waste incineration unit | ||||||
10 | combusting municipal
waste subject to standards | ||||||
11 | promulgated under Section 129(e) of the Clean Air
Act shall | ||||||
12 | be issued for a period of 12 years and shall be reviewed | ||||||
13 | every 5
years, unless the Agency requires more frequent | ||||||
14 | review through Agency
procedures.
| ||||||
15 | b. During the review in paragraph (a) of this | ||||||
16 | subsection, the Agency shall
fully review the previously | ||||||
17 | submitted CAAPP permit application and
corresponding | ||||||
18 | reports subsequently submitted to determine whether the | ||||||
19 | source is
in compliance with all applicable requirements.
| ||||||
20 | c. If the Agency determines that the source is not in | ||||||
21 | compliance with all
applicable requirements it shall | ||||||
22 | revise the CAAPP permit as appropriate.
| ||||||
23 | d. The Agency shall have the authority to adopt | ||||||
24 | procedural rules, in
accordance with the Illinois | ||||||
25 | Administrative Procedure Act, as the Agency deems
|
| |||||||
| |||||||
1 | necessary, to implement this subsection.
| ||||||
2 | (Source: P.A. 93-32, eff. 7-1-03; 94-580, eff. 8-12-05.)
| ||||||
3 | (415 ILCS 5/55.8) (from Ch. 111 1/2, par. 1055.8)
| ||||||
4 | Sec. 55.8. Tire retailers.
| ||||||
5 | (a) Any person selling new or used tires at
retail or | ||||||
6 | offering new or used tires for retail sale in this State shall:
| ||||||
7 | (1) beginning on the effective date of this amendatory | ||||||
8 | Act of the 96th General Assembly June 20, 2003 (the | ||||||
9 | effective date of Public Act
93-32) , collect from retail | ||||||
10 | customers a fee of $1 $2 per new or used
tire sold and | ||||||
11 | delivered in this State, to be paid to the Department of
| ||||||
12 | Revenue and deposited into the Used Tire Management Fund, | ||||||
13 | less a collection
allowance of 10 cents per tire to be | ||||||
14 | retained by the retail seller and a
collection allowance of | ||||||
15 | 10 cents per tire to be retained by the Department of
| ||||||
16 | Revenue and paid into the General Revenue Fund;
| ||||||
17 | (1.5) (blank) beginning on July 1, 2003, collect from | ||||||
18 | retail customers an
additional 50 cents per new or used | ||||||
19 | tire sold and delivered in this State;
the money collected | ||||||
20 | from this fee shall be deposited into the Emergency Public
| ||||||
21 | Health Fund ;
| ||||||
22 | (2) accept for recycling used tires from customers, at | ||||||
23 | the point of
transfer, in a quantity equal to the number of | ||||||
24 | new tires purchased; and
| ||||||
25 | (3) post in a conspicuous place a written notice at |
| |||||||
| |||||||
1 | least 8.5 by 11
inches in size that includes the universal | ||||||
2 | recycling symbol and the
following statements: "DO NOT put | ||||||
3 | used tires in the trash.";
"Recycle your used tires."; and | ||||||
4 | "State law requires us to accept used tires
for recycling, | ||||||
5 | in exchange for new tires purchased.".
| ||||||
6 | (b) A person who accepts used tires for recycling under | ||||||
7 | subsection (a)
shall not allow the tires to accumulate for | ||||||
8 | periods of more than 90 days.
| ||||||
9 | (c) The requirements of subsection (a) of this Section do | ||||||
10 | not apply
to mail order sales nor shall the retail sale of a | ||||||
11 | motor vehicle be considered
to be the sale of tires at retail | ||||||
12 | or offering of tires for retail sale.
Instead of filing | ||||||
13 | returns, retailers of tires may remit the tire user fee of
| ||||||
14 | $1.00 per tire to their suppliers of tires if the supplier of | ||||||
15 | tires is a
registered retailer of tires and agrees or otherwise | ||||||
16 | arranges to collect
and remit the tire fee to the Department of | ||||||
17 | Revenue, notwithstanding the fact
that the sale of the tire is | ||||||
18 | a sale for resale and not a sale at retail. A
tire supplier who | ||||||
19 | enters into such an arrangement with a tire retailer shall
be | ||||||
20 | liable for the tax on all tires sold to the tire retailer and | ||||||
21 | must (i)
provide the tire retailer with a receipt that | ||||||
22 | separately reflects the tire
tax collected from the retailer on | ||||||
23 | each transaction and (ii) accept used tires
for recycling from | ||||||
24 | the retailer's customers. The tire supplier shall be
entitled | ||||||
25 | to the collection allowance of 10 cents per tire.
| ||||||
26 | The retailer of the tires must maintain in its books and |
| |||||||
| |||||||
1 | records evidence
that the appropriate fee was paid to the tire | ||||||
2 | supplier and that the tire
supplier has agreed to remit the fee | ||||||
3 | to the Department of Revenue for each tire
sold by the | ||||||
4 | retailer. Otherwise, the tire retailer shall be directly liable
| ||||||
5 | for the fee on all tires sold at retail. Tire retailers paying | ||||||
6 | the fee to
their suppliers are not entitled to the collection | ||||||
7 | allowance of 10 cents per
tire.
| ||||||
8 | (d) The requirements of subsection (a) of this Section | ||||||
9 | shall apply
exclusively to tires to be used for vehicles | ||||||
10 | defined in Section 1-217 of
the Illinois Vehicle Code, aircraft | ||||||
11 | tires, special mobile equipment, and
implements of husbandry.
| ||||||
12 | (e) The requirements of paragraph (1) of subsection (a) do | ||||||
13 | not
apply to the sale of reprocessed tires. For purposes of | ||||||
14 | this Section,
"reprocessed tire" means a used tire that has | ||||||
15 | been recapped, retreaded,
or regrooved and that has not been | ||||||
16 | placed on a vehicle wheel rim.
| ||||||
17 | (Source: P.A. 95-49, eff. 8-10-07; 95-331, eff. 8-21-07; | ||||||
18 | 95-876, eff. 8-21-08.)
| ||||||
19 | (415 ILCS 5/56.4) (from Ch. 111 1/2, par. 1056.4)
| ||||||
20 | Sec. 56.4. Medical waste manifests.
| ||||||
21 | (a) Manifests for potentially infectious medical waste | ||||||
22 | shall
consist of an original (the first page of the form) and 3 | ||||||
23 | copies. Upon
delivery of potentially infectious medical waste | ||||||
24 | by a generator to a
transporter, the transporter shall deliver | ||||||
25 | one copy of the completed
manifest to the generator. Upon |
| |||||||
| |||||||
1 | delivery of potentially infectious medical
waste by a | ||||||
2 | transporter to a treatment or disposal facility,
the | ||||||
3 | transporter shall keep
one copy of the completed manifest, and | ||||||
4 | the transporter shall deliver the
original and one copy of the | ||||||
5 | completed manifest to the treatment or
disposal facility.
The | ||||||
6 | treatment or disposal facility shall keep one copy of the
| ||||||
7 | completed manifest and
return the original to the generator | ||||||
8 | within 35 days. The manifest,
as provided for in this Section, | ||||||
9 | shall not terminate while
being transferred between the | ||||||
10 | generator, transporter, transfer station, or
storage facility, | ||||||
11 | unless transfer activities are conducted at the treatment or
| ||||||
12 | disposal facility. The manifest shall terminate at the | ||||||
13 | treatment or disposal
facility.
| ||||||
14 | (b) Potentially infectious medical waste manifests shall | ||||||
15 | be in a form
prescribed and provided by the Agency. Generators | ||||||
16 | and transporters of
potentially infectious medical waste and | ||||||
17 | facilities accepting potentially
infectious medical waste are | ||||||
18 | not required to submit copies of such
manifests to the Agency. | ||||||
19 | The manifest described in this Section shall be
used for the | ||||||
20 | transportation of potentially infectious medical waste instead
| ||||||
21 | of the manifest described in Section 22.01 of this Act. Copies | ||||||
22 | of each
manifest shall be retained for 3 years by generators, | ||||||
23 | transporters, and
facilities, and shall be available for | ||||||
24 | inspection and copying by the Agency.
| ||||||
25 | (c) The Agency shall assess a fee of $2
$4.00 for each
| ||||||
26 | potentially infectious medical waste manifest provided by the |
| |||||||
| |||||||
1 | Agency.
| ||||||
2 | (d) All fees collected by the Agency under this Section | ||||||
3 | shall be
deposited into the Environmental Protection Permit and | ||||||
4 | Inspection Fund. The
Agency may establish procedures relating | ||||||
5 | to the collection of fees under
this Section. The Agency shall | ||||||
6 | not refund any fee paid to it under this
Section.
| ||||||
7 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
8 | (415 ILCS 5/56.5) (from Ch. 111 1/2, par. 1056.5)
| ||||||
9 | Sec. 56.5. Medical waste hauling fees.
| ||||||
10 | (a) The Agency shall annually collect a $1,000
$2000 fee
| ||||||
11 | for each potentially infectious medical waste hauling permit | ||||||
12 | application
and, in addition, shall collect a fee of $250 for | ||||||
13 | each potentially
infectious medical waste hauling vehicle | ||||||
14 | identified in the annual permit
application and for each | ||||||
15 | vehicle that is added to the permit during the
annual period. | ||||||
16 | Each applicant required to pay a fee under this Section
shall | ||||||
17 | submit the fee along with the permit application. The Agency | ||||||
18 | shall
deny any permit application for which a fee is required | ||||||
19 | under this Section
that does not contain the appropriate fee.
| ||||||
20 | (b) All fees collected by the Agency under this Section | ||||||
21 | shall be
deposited into the Environmental Protection Permit and | ||||||
22 | Inspection Fund.
The Agency may establish procedures relating | ||||||
23 | to the collection of fees
under this Section. The Agency shall | ||||||
24 | not refund any fee paid to it under
this Section.
| ||||||
25 | (c) The Agency shall not collect a fee under this Section |
| |||||||
| |||||||
1 | from any
hospital that transports only potentially infectious | ||||||
2 | medical waste
generated by its own activities or by members of | ||||||
3 | its medical staff.
| ||||||
4 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
5 | (415 ILCS 5/56.6) (from Ch. 111 1/2, par. 1056.6)
| ||||||
6 | Sec. 56.6. Medical waste transportation fees.
| ||||||
7 | (a) The Agency shall collect from each transporter of | ||||||
8 | potentially
infectious medical waste required to have a permit | ||||||
9 | under Section 56.1(f)
of this Act a fee in the amount of 1.5
3 | ||||||
10 | cents per pound of
potentially infectious medical waste | ||||||
11 | transported. The Agency shall collect
from each transporter of | ||||||
12 | potentially infectious medical waste not required
to have a | ||||||
13 | permit under Section 56.1(f)(1)(A) of this Act a fee in the
| ||||||
14 | amount of 1.5
3 cents per pound of potentially infectious | ||||||
15 | medical waste
transported to a site or facility not owned, | ||||||
16 | controlled, or operated by the
transporter. The Agency shall | ||||||
17 | deny any permit required under Section
56.1(f) of this Act from | ||||||
18 | any applicant who has not paid to the Agency all
fees due under | ||||||
19 | this Section.
| ||||||
20 | A fee in the amount of 1.5
3 cents per pound of potentially
| ||||||
21 | infectious medical waste shall be collected by the Agency from | ||||||
22 | a potentially
infectious medical waste storage site or | ||||||
23 | treatment facility receiving
potentially infectious medical | ||||||
24 | waste, unless the fee has been previously paid
by a | ||||||
25 | transporter.
|
| |||||||
| |||||||
1 | (b) The Agency shall establish procedures, not later than | ||||||
2 | January 1,
1992, relating to the collection of the fees | ||||||
3 | authorized by this Section.
These procedures shall include, but | ||||||
4 | not be limited to: (i) necessary
records identifying the | ||||||
5 | quantities of potentially infectious medical waste
| ||||||
6 | transported; (ii) the form and submission of reports to | ||||||
7 | accompany the
payment of fees to the Agency; and (iii) the time | ||||||
8 | and manner of payment of
fees to the Agency, which payments | ||||||
9 | shall be not more often than quarterly.
| ||||||
10 | (c) All fees collected by the Agency under this Section | ||||||
11 | shall be
deposited into the Environmental Protection Permit and | ||||||
12 | Inspection Fund. The
Agency may establish procedures relating | ||||||
13 | to the collection of fees under
this Section. The Agency shall | ||||||
14 | not refund any fee paid to it under this
Section.
| ||||||
15 | (d) The Agency shall not collect a fee under this Section | ||||||
16 | from a
person transporting potentially infectious medical | ||||||
17 | waste to a hospital when
the person is a member of the | ||||||
18 | hospital's medical staff.
| ||||||
19 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
20 | (415 ILCS 5/9.12 rep.)
| ||||||
21 | (415 ILCS 5/9.13 rep.)
| ||||||
22 | (415 ILCS 5/12.5 rep.)
| ||||||
23 | (415 ILCS 5/12.6 rep.)
| ||||||
24 | Section 145. The Environmental Protection Act is amended by | ||||||
25 | repealing Sections 9.12, 9.13, 12.5, and 12.6. |
| |||||||
| |||||||
1 | Section 150. The Illinois Pesticide Act is amended by | ||||||
2 | changing Sections 6 and 22.1 as follows:
| ||||||
3 | (415 ILCS 60/6) (from Ch. 5, par. 806)
| ||||||
4 | Sec. 6. Registration.
| ||||||
5 | 1. Every pesticide which is distributed, sold,
offered for | ||||||
6 | sale within this State, delivered for transportation or
| ||||||
7 | transported in interstate commerce or between points within the | ||||||
8 | State
through any point outside the State, shall be registered | ||||||
9 | with the Director
or his designated agent, subject to | ||||||
10 | provisions of this Act. Such
registration shall be renewed | ||||||
11 | annually with registrations expiring December
31 each year. | ||||||
12 | Registration is not required if a pesticide is shipped from
one | ||||||
13 | plant or warehouse to another plant or warehouse by the same | ||||||
14 | person and
is used solely at such plant or warehouse as a | ||||||
15 | constituent part to make a
pesticide which is registered under | ||||||
16 | provisions of this Act and FIFRA.
| ||||||
17 | 2. Registration applicant shall file a statement with the | ||||||
18 | Director which
shall include:
| ||||||
19 | A. The name and address of the applicant and the name | ||||||
20 | and address of the
person whose name will appear on the | ||||||
21 | label if different from the applicant's.
| ||||||
22 | B. The name of the pesticide.
| ||||||
23 | C. A copy of the labeling accompanying the pesticide | ||||||
24 | under customary conditions
of distribution, sale and use, |
| |||||||
| |||||||
1 | including ingredient statement, direction
for use, use | ||||||
2 | classification, and precautionary or warning statements.
| ||||||
3 | 3. The Director may require the submission of complete | ||||||
4 | formula data.
| ||||||
5 | 4. The Director may require a full description of tests | ||||||
6 | made and the results
thereof, upon which the claims are based, | ||||||
7 | for any pesticide not registered
pursuant to FIFRA, or on any | ||||||
8 | pesticide under consideration
to be classified for restricted | ||||||
9 | use.
| ||||||
10 | A. The Director will not consider data he required of | ||||||
11 | the initial
registrant of a pesticide in support of another | ||||||
12 | applicants' registration
unless the subsequent applicant | ||||||
13 | has obtained written permission to use such data.
| ||||||
14 | B. In the case of renewal registration, the Director | ||||||
15 | may accept a
statement only with respect to information | ||||||
16 | which is different from that
furnished previously.
| ||||||
17 | 5. The Director may prescribe other requirements to support | ||||||
18 | a pesticide
registration by regulation.
| ||||||
19 | 6. For the years preceding the year 2004, any registrant | ||||||
20 | desiring to
register a pesticide product at any
time during one | ||||||
21 | year shall pay the annual registration fee of
$100 per product | ||||||
22 | registered for that applicant.
For the years 2004 through 2008
| ||||||
23 | and thereafter , the annual product registration
fee is $200 per | ||||||
24 | product. For the years 2009 and thereafter, the annual product | ||||||
25 | registration
fee is $130.
| ||||||
26 | In addition, for the years preceding the year 2004 any |
| |||||||
| |||||||
1 | business
registering a pesticide product at any time
during one | ||||||
2 | year shall pay the annual business registration
fee of $250. | ||||||
3 | For the years 2004 through 2008
and thereafter , the annual | ||||||
4 | business
registration fee shall be $400. For the years 2009 and | ||||||
5 | thereafter, the annual business
registration fee is $300. Each | ||||||
6 | legal entity of the business
shall pay
the
annual business | ||||||
7 | registration fee.
| ||||||
8 | For the years preceding the year 2004, any applicant | ||||||
9 | requesting an
experimental use permit shall pay the annual
fee | ||||||
10 | of $100 per permit and all special local need
pesticide
| ||||||
11 | registration
applicants shall pay an annual fee of $100 per | ||||||
12 | product. For the
years 2004 through 2008
and thereafter , the | ||||||
13 | annual
experimental use permit fee and special local need | ||||||
14 | pesticide registration fee
is $200 per permit. For the annual
| ||||||
15 | experimental use permit fee and special local need pesticide | ||||||
16 | registration fee is $130. Subsequent
SLN
registrations for a | ||||||
17 | pesticide already registered shall be exempted from the
| ||||||
18 | registration fee.
| ||||||
19 | A. All registration accepted and approved by the | ||||||
20 | Director shall expire
on the 31st day of December in any | ||||||
21 | one year unless cancelled.
Registration for a special local | ||||||
22 | need may be granted for a specific
period of time with the | ||||||
23 | approval date and expiration date specified.
| ||||||
24 | B. If a registration for special local need granted by | ||||||
25 | the Director does
not receive approval of the Administrator | ||||||
26 | of USEPA, the registration shall
expire on the date of the |
| |||||||
| |||||||
1 | Administrator's disapproval.
| ||||||
2 | 7. Registrations approved and accepted by the Director and | ||||||
3 | in effect on
the 31st day of December, for which renewal | ||||||
4 | application is made, shall continue
in full force and effect | ||||||
5 | until the Director notifies the registrant that
the renewal has | ||||||
6 | been approved and accepted or the registration is denied
under | ||||||
7 | this Act. Renewal registration forms will be provided to | ||||||
8 | applicants
by the Director.
| ||||||
9 | 8. If the renewal of a pesticide registration is not filed | ||||||
10 | within 30
days of the date of expiration, a penalty late | ||||||
11 | registration assessment of $200
$300 per product shall apply in | ||||||
12 | lieu of the normal annual product
registration fee. The late | ||||||
13 | registration assessment shall not
apply if the applicant | ||||||
14 | furnishes an affidavit certifying that no
unregulated | ||||||
15 | pesticide was distributed or sold during the period of
| ||||||
16 | registration. The late assessment is not a bar to prosecution | ||||||
17 | for doing
business without proper registry.
| ||||||
18 | 9. The Director may prescribe by regulation to allow | ||||||
19 | pesticide use for
a special local need, pursuant to FIFRA.
| ||||||
20 | 10. The Director may prescribe by regulation the provisions | ||||||
21 | for and
requirements of registering a pesticide intended for | ||||||
22 | experimental use.
| ||||||
23 | 11. The Director shall not make any lack of essentiality a | ||||||
24 | criterion for
denial of registration of any pesticide. Where 2 | ||||||
25 | pesticides meet the
requirements, one should not be registered | ||||||
26 | in preference to the other.
|
| |||||||
| |||||||
1 | 12. It shall be the duty of the pesticide registrant to | ||||||
2 | properly
dispose of any pesticide the registration of which has | ||||||
3 | been suspended,
revoked or cancelled or which is otherwise not | ||||||
4 | properly registered
in the State.
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
6 | (415 ILCS 60/22.1) (from Ch. 5, par. 822.1)
| ||||||
7 | Sec. 22.1. Pesticide Control Fund. There is hereby created | ||||||
8 | in the
State Treasury a special fund to be known as the | ||||||
9 | Pesticide Control Fund.
All registration, penalty and license | ||||||
10 | fees collected by the Department
pursuant to this Act shall be | ||||||
11 | deposited into the Fund. The amount annually
collected as fees | ||||||
12 | shall be appropriated by the General Assembly to the
Department | ||||||
13 | for the purposes of conducting a public educational program on
| ||||||
14 | the proper use of pesticides, for other activities related to | ||||||
15 | the
enforcement of this Act, and for administration of the | ||||||
16 | Insect Pest and
Plant Disease Act. However, the increase in | ||||||
17 | fees in Sections 6, 10, and 13
of this Act resulting from this | ||||||
18 | amendatory Act of 1990 shall be used by the
Department for the | ||||||
19 | purpose of carrying out the Department's powers and
duties as | ||||||
20 | set forth in paragraph 8 of Section 19 of this Act. The monies
| ||||||
21 | collected under Section 13.1 of this Act shall be deposited in | ||||||
22 | the
Agrichemical Incident Response Fund. In addition, for the | ||||||
23 | years 2004 through 2008
and
thereafter , $125 of each pesticide | ||||||
24 | annual business registration fee and $50 of
each pesticide | ||||||
25 | product annual registration fee collected by the Department
|
| |||||||
| |||||||
1 | pursuant to Section 6, paragraph 6 of this Act shall be | ||||||
2 | deposited by the
Department directly into the State's General | ||||||
3 | Revenue Fund.
| ||||||
4 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
5 | (415 ILCS 120/35 rep.)
| ||||||
6 | Section 155. The Alternate Fuels Act is amended by | ||||||
7 | repealing Section 35 . | ||||||
8 | Section 160. The Alternate Fuels Act is amended by changing | ||||||
9 | Section 40 as follows:
| ||||||
10 | (415 ILCS 120/40)
| ||||||
11 | Sec. 40. Appropriations from the Alternate Fuels Fund.
| ||||||
12 | (a) (Blank).
User Fees Funds. The Agency shall estimate the | ||||||
13 | amount of user fees
expected to be collected under Section 35 | ||||||
14 | of this Act for each fiscal
year. User fee funds shall be
| ||||||
15 | deposited into and distributed from the Alternate Fuels Fund in | ||||||
16 | the following
manner:
| ||||||
17 | (1) In each of fiscal years 1999, 2000, 2001, 2002, and | ||||||
18 | 2003,
an amount not to exceed $200,000, and beginning in | ||||||
19 | fiscal year 2004 an
annual amount not to exceed $225,000, | ||||||
20 | may be appropriated to the Agency
from the Alternate Fuels | ||||||
21 | Fund to pay its costs of administering the programs
| ||||||
22 | authorized by Section 30 of this Act. Up to $200,000 may be | ||||||
23 | appropriated to
the Office of the Secretary of State in |
| |||||||
| |||||||
1 | each of fiscal years 1999, 2000, 2001, 2002, and 2003 from | ||||||
2 | the Alternate Fuels Fund to pay the Secretary
of State's | ||||||
3 | costs of administering the programs authorized under this | ||||||
4 | Act.
Beginning in fiscal year 2004 and in each fiscal year | ||||||
5 | thereafter, an amount
not to exceed $225,000 may be | ||||||
6 | appropriated to the Secretary of State from the
Alternate | ||||||
7 | Fuels Fund to pay the Secretary of State's costs of | ||||||
8 | administering the
programs authorized under this Act.
| ||||||
9 | (2) In fiscal years 1999, 2000, 2001, and 2002, after | ||||||
10 | appropriation of
the amounts authorized by item (1) of | ||||||
11 | subsection (a) of this Section, the
remaining moneys | ||||||
12 | estimated to be
collected during each fiscal year shall be | ||||||
13 | appropriated as follows: 80% of
the remaining moneys shall | ||||||
14 | be appropriated to fund the programs authorized by
Section | ||||||
15 | 30, and 20% shall be appropriated to fund the programs | ||||||
16 | authorized by
Section 25. In fiscal year 2004 and each | ||||||
17 | fiscal year thereafter, after
appropriation of the amounts | ||||||
18 | authorized by item (1) of subsection (a) of this
Section, | ||||||
19 | the remaining moneys estimated to be collected during each | ||||||
20 | fiscal year
shall be appropriated as follows: 70% of the | ||||||
21 | remaining moneys shall be
appropriated to fund the programs | ||||||
22 | authorized by Section 30 and 30% shall be
appropriated to | ||||||
23 | fund the programs authorized by Section 31.
| ||||||
24 | (3) (Blank).
| ||||||
25 | (4) Moneys appropriated to fund the programs | ||||||
26 | authorized
in Sections 25 and 30 shall be expended only |
| |||||||
| |||||||
1 | after they have been
collected and deposited into the | ||||||
2 | Alternate Fuels Fund.
| ||||||
3 | (b) General Revenue Fund Appropriations. General Revenue | ||||||
4 | Fund amounts
appropriated to and deposited into the Alternate | ||||||
5 | Fuels Fund shall be
distributed from the Alternate Fuels Fund | ||||||
6 | in the following manner:
| ||||||
7 | (1) In each of fiscal years 2003 and 2004, an amount | ||||||
8 | not to exceed
$50,000 may be appropriated to the
Department | ||||||
9 | of Commerce and Community Affairs
(now Department of | ||||||
10 | Commerce and Economic Opportunity) from the Alternate | ||||||
11 | Fuels Fund to pay
its costs of administering the programs | ||||||
12 | authorized by Sections 31 and 32.
| ||||||
13 | (2) In each of fiscal years 2003 and 2004, an amount | ||||||
14 | not to exceed
$50,000 may be appropriated to the Department | ||||||
15 | of Commerce and Community Affairs
(now Department of | ||||||
16 | Commerce and Economic Opportunity) to fund the programs | ||||||
17 | authorized by Section 32.
| ||||||
18 | (3) In each of fiscal years 2003 and 2004, after | ||||||
19 | appropriation of the
amounts authorized in items (1) and | ||||||
20 | (2) of subsection (b) of this Section, the
remaining moneys | ||||||
21 | received from the General Revenue Fund shall be | ||||||
22 | appropriated
as follows: 52.632% of the remaining moneys | ||||||
23 | shall be appropriated to fund the
programs authorized by | ||||||
24 | Sections 25 and 30 and 47.368% of the remaining moneys
| ||||||
25 | shall be appropriated to fund the programs authorized by | ||||||
26 | Section 31.
The moneys appropriated to fund the programs |
| |||||||
| |||||||
1 | authorized by Sections 25
and 30 shall be used as follows: | ||||||
2 | 20% shall be used to fund the
programs authorized by | ||||||
3 | Section 25, and 80% shall be used to fund
the programs | ||||||
4 | authorized by Section 30.
| ||||||
5 | Moneys appropriated to fund the programs authorized in | ||||||
6 | Section 31
shall be expended only after they have been | ||||||
7 | deposited into the
Alternate Fuels Fund.
| ||||||
8 | (Source: P.A. 93-32, eff. 7-1-03; 94-793, eff. 5-19-06.)
| ||||||
9 | Section 165. The Environmental Impact Fee Law is amended by | ||||||
10 | changing Section 315 as follows:
| ||||||
11 | (415 ILCS 125/315)
| ||||||
12 | (Section scheduled to be repealed on January 1, 2013)
| ||||||
13 | Sec. 315. Fee on receivers of fuel for sale or use; | ||||||
14 | collection and
reporting. A person that is required to pay the | ||||||
15 | fee imposed by this Law shall
pay the fee to the Department by | ||||||
16 | return showing all fuel purchased, acquired,
or received and | ||||||
17 | sold, distributed or used during the preceding calendar
month,
| ||||||
18 | including losses of fuel as the result of evaporation or | ||||||
19 | shrinkage due to
temperature variations, and such other | ||||||
20 | reasonable information as the
Department may require. Losses of | ||||||
21 | fuel as the result of evaporation or
shrinkage due to | ||||||
22 | temperature variations may not exceed 1%
of the total
gallons | ||||||
23 | in storage at the beginning of the month, plus the receipts of
| ||||||
24 | gallonage during the month, minus the gallonage remaining in |
| |||||||
| |||||||
1 | storage at the end
of the month. Any loss reported that is in | ||||||
2 | excess of this amount shall be
subject to the fee imposed by | ||||||
3 | Section 310 of this Law.
On and after July 1, 2001, for each | ||||||
4 | 6-month period January through June, net
losses of fuel (for | ||||||
5 | each category of fuel that is required to be reported on a
| ||||||
6 | return) as the result of evaporation or shrinkage due to | ||||||
7 | temperature variations
may not exceed 1% of the total gallons | ||||||
8 | in storage at the beginning of each
January, plus the receipts | ||||||
9 | of gallonage each January through June, minus the
gallonage | ||||||
10 | remaining in storage at the end of each June. On and after July | ||||||
11 | 1,
2001, for each 6-month period July through December, net | ||||||
12 | losses of fuel (for
each category of fuel that is required to | ||||||
13 | be reported on a return) as the
result of evaporation or | ||||||
14 | shrinkage due to temperature variations may not exceed
1% of | ||||||
15 | the total gallons in storage at the beginning of each July, | ||||||
16 | plus the
receipts of gallonage each July through December, | ||||||
17 | minus the gallonage remaining
in storage at the end of each | ||||||
18 | December. Any net loss reported that is in
excess of this | ||||||
19 | amount shall be subject to the fee imposed by Section 310 of
| ||||||
20 | this Law. For purposes of this Section, "net loss" means the | ||||||
21 | number of gallons
gained through temperature variations minus | ||||||
22 | the number of gallons lost through
temperature variations or | ||||||
23 | evaporation for each of the respective 6-month
periods.
| ||||||
24 | The return shall be prescribed by the Department and shall | ||||||
25 | be filed between
the 1st and 20th days of each calendar month. | ||||||
26 | The Department may, in its
discretion, combine the return filed |
| |||||||
| |||||||
1 | under this Law with the return filed under
Section 2b of the | ||||||
2 | Motor Fuel Tax Law. If the return is timely filed, the
receiver | ||||||
3 | may take a discount of 2% through June 30, 2003 ,
and 1.75% | ||||||
4 | through the effective date of this amendatory Act of the 96th | ||||||
5 | General Assembly, and 2%
thereafter to reimburse himself for | ||||||
6 | the
expenses
incurred in keeping records, preparing and filing | ||||||
7 | returns, collecting and
remitting the fee, and supplying data | ||||||
8 | to the Department on request. However,
the discount applies | ||||||
9 | only to the amount of the fee payment that
accompanies
a return | ||||||
10 | that is timely filed in accordance with this Section.
| ||||||
11 | (Source: P.A. 92-30, eff. 7-1-01; 93-32, eff. 6-20-03.)
| ||||||
12 | Section 170. The Boiler and Pressure Vessel Safety Act is | ||||||
13 | amended by changing Section 13 as follows:
| ||||||
14 | (430 ILCS 75/13) (from Ch. 111 1/2, par. 3214)
| ||||||
15 | Sec. 13. Inspection fees. The owner or user of a boiler or | ||||||
16 | pressure
vessel required by this Act to be inspected by the | ||||||
17 | Chief Inspector or
his Deputy Inspector shall pay directly to | ||||||
18 | the Office of the State Fire
Marshal, upon
completion of | ||||||
19 | inspection, fees established by the
Board.
| ||||||
20 | Fees
On and after October 1, 2003, 50% of the fees for | ||||||
21 | certification of boilers
and pressure vessels as described in | ||||||
22 | Section 11 shall be deposited into the
General Revenue Fund and | ||||||
23 | the remaining fees received under this Act shall be
deposited | ||||||
24 | in the Fire Prevention Fund.
|
| |||||||
| |||||||
1 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
2 | Section 175. The Illinois Commercial Feed Act of 1961 is | ||||||
3 | amended by changing Sections 6 and 14.3 as follows:
| ||||||
4 | (505 ILCS 30/6) (from Ch. 56 1/2, par. 66.6)
| ||||||
5 | Sec. 6. Inspection fees and reports.
| ||||||
6 | (a) An inspection fee at the rate of $0.16
20 cents per ton | ||||||
7 | shall be
paid to
the Director on commercial feed distributed in | ||||||
8 | this State by the person who
first distributes the commercial | ||||||
9 | feed subject to the following:
| ||||||
10 | (1) The inspection fee is not required on the first | ||||||
11 | distribution, if
made to an Exempt Buyer, who with approval | ||||||
12 | from the Director, will become
responsible for the fee.
| ||||||
13 | (2) Customer-formula feeds are hereby exempted if the | ||||||
14 | inspection fee is
paid on the commercial feeds which they | ||||||
15 | contain.
| ||||||
16 | (3) A fee shall not be paid on a commercial feed if the | ||||||
17 | payment has been
made by a previous distributor.
| ||||||
18 | (4) In the case of pet food and specialty pet food | ||||||
19 | which are distributed
in the State in packages of 10 pounds | ||||||
20 | or less, an annual fee of $50
$75
shall be paid in lieu of | ||||||
21 | an inspection fee. The inspection fee required by
| ||||||
22 | subsection (a) shall apply to pet food and specialty pet | ||||||
23 | food distribution
in packages exceeding 10 pounds. All fees | ||||||
24 | collected pursuant to this
Section shall be paid into the |
| |||||||
| |||||||
1 | Feed Control Fund in the State Treasury.
| ||||||
2 | (b) The minimum inspection fee shall be $25 every 6 months.
| ||||||
3 | (c) Each person who is liable for the payment of the | ||||||
4 | inspection fee shall:
| ||||||
5 | (1) File, not later than the last day of January and | ||||||
6 | July of each year,
a statement setting forth the number of | ||||||
7 | net tons of
commercial feeds distributed in this State | ||||||
8 | during the preceding calendar
6 months period; and upon | ||||||
9 | filing such statement shall pay the inspection
fee at the | ||||||
10 | rate stated in paragraph (a) of this Section. This report
| ||||||
11 | shall be made on a summary form provided by the Director or | ||||||
12 | on other forms
as approved by the Director. If the tonnage | ||||||
13 | report is not filed and the
inspection fee is not paid | ||||||
14 | within 15 days after the end of the filing date
a | ||||||
15 | collection fee amounting to 10% of the inspection fee that | ||||||
16 | is due
or $50 whichever is greater, shall be assessed | ||||||
17 | against the person who is
liable for the payment of the | ||||||
18 | inspection fee in addition to the
inspection fee that is | ||||||
19 | due.
| ||||||
20 | (2) Keep such records as may be necessary or required | ||||||
21 | by the Director to
indicate accurately the tonnage of | ||||||
22 | commercial feed distributed in this
State, and the Director | ||||||
23 | shall have the right to examine such records to
verify | ||||||
24 | statements of tonnage. Failure to make an accurate | ||||||
25 | statement of
tonnage or to pay the inspection fee or comply | ||||||
26 | as provided herein shall
constitute sufficient cause for |
| |||||||
| |||||||
1 | the cancellation of all registrations
or firm licenses on | ||||||
2 | file for the manufacturer or distributor.
| ||||||
3 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
4 | (505 ILCS 30/14.3) (from Ch. 56 1/2, par. 66.14.3)
| ||||||
5 | Sec. 14.3. Feed Control Fund. There is created in the State
| ||||||
6 | Treasury a special fund to be known as the Feed Control Fund. | ||||||
7 | All firm
license, inspection, and penalty fees collected by the | ||||||
8 | Department under
this Act shall be deposited in the Feed | ||||||
9 | Control Fund. In addition, for the
years 2004 and thereafter, | ||||||
10 | $22 of each annual fee collected by the Department
pursuant to | ||||||
11 | Section 6, paragraph 4 of this Act shall be deposited by the
| ||||||
12 | Department directly into the State's General Revenue Fund.
The | ||||||
13 | amount annually collected as fees shall be appropriated by the | ||||||
14 | General
Assembly to the Department for activities related to | ||||||
15 | the enforcement of this
Act.
| ||||||
16 | (Source: P.A. 93-32, eff. 7-1-03 .)
| ||||||
17 | Section 180. The Illinois Fertilizer Act of 1961 is amended | ||||||
18 | by changing Sections 4 and 6 as follows:
| ||||||
19 | (505 ILCS 80/4) (from Ch. 5, par. 55.4)
| ||||||
20 | Sec. 4. Registration.
| ||||||
21 | (a) Each brand and grade of commercial fertilizer shall be | ||||||
22 | registered
before being distributed in this State. The | ||||||
23 | application for registration
shall be submitted with a label or |
| |||||||
| |||||||
1 | facsimile of same to the Director on
form furnished by the | ||||||
2 | Director, and shall be accompanied by a fee of $10 per
grade | ||||||
3 | within a brand. Upon approval by the Director a copy of the
| ||||||
4 | registration shall be furnished to the applicant. All | ||||||
5 | registrations expire
on December 31 of each year.
| ||||||
6 | The application shall include the following information:
| ||||||
7 | (1) The net weight
| ||||||
8 | (2) The brand and grade
| ||||||
9 | (3) The guaranteed analysis
| ||||||
10 | (4) The name and address of the registrant.
| ||||||
11 | (b) A distributor shall not be required to register any | ||||||
12 | brand of
commercial fertilizer or custom mix which is already | ||||||
13 | registered under this
Act by another person.
| ||||||
14 | (c) The plant nutrient content of each and every commercial | ||||||
15 | fertilizer
must remain uniform for the period of registration | ||||||
16 | and, in no case, shall
the percentage of any guaranteed plant | ||||||
17 | nutrient element be changed in such
a manner that the | ||||||
18 | crop-producing quality of the commercial fertilizer is
| ||||||
19 | lowered.
| ||||||
20 | (d) Each custom mixer shall register annually with the | ||||||
21 | Director on forms
furnished by the Director. The application | ||||||
22 | for registration shall be
accompanied by a fee of $25
$50 , | ||||||
23 | unless the custom mixer elects
to register
each mixture, paying | ||||||
24 | a fee of $5
$10 per mixture. Upon approval
by the
Director, a | ||||||
25 | copy of the registration shall be furnished to the applicant.
| ||||||
26 | All registrations expire on December 31 of each year.
|
| |||||||
| |||||||
1 | (e) A custom mix as defined in section 3(f), prepared for | ||||||
2 | one consumer
shall not be co-mingled with the custom mixed | ||||||
3 | fertilizer prepared for
another consumer.
| ||||||
4 | (f) All fees collected pursuant to this Section shall be | ||||||
5 | paid into the
State treasury.
| ||||||
6 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
7 | (505 ILCS 80/6) (from Ch. 5, par. 55.6)
| ||||||
8 | Sec. 6. Inspection fees.
| ||||||
9 | (a) There shall be paid to the Director for all commercial | ||||||
10 | fertilizers
or custom mix distributed in this State an | ||||||
11 | inspection fee at the rate of $0.20
25¢ per ton. Sales to | ||||||
12 | manufacturers or exchanges between them are
hereby
exempted | ||||||
13 | from the inspection fee.
| ||||||
14 | On individual packages of commercial or custom mix or | ||||||
15 | specialty
fertilizers containing 5 pounds or less, or if in | ||||||
16 | liquid form containers of
4,000 cubic centimeters or less, | ||||||
17 | there shall be paid instead of the $0.20
25¢ per ton inspection | ||||||
18 | fee, an annual inspection fee of $25 for
each
grade within a | ||||||
19 | brand sold or distributed. Where a person sells commercial
or | ||||||
20 | custom mix or specialty fertilizers in packages of 5 pounds or | ||||||
21 | less, or
4,000 cubic centimeters or less if in liquid form, and | ||||||
22 | also sells in larger
packages than 5 pounds or liquid | ||||||
23 | containers larger than 4,000 cubic
centimeters, this annual | ||||||
24 | inspection fee of $25 applies only to that portion
sold in | ||||||
25 | packages of 5 pounds or less or 4,000 cubic centimeters or |
| |||||||
| |||||||
1 | less,
and that portion sold in larger packages or containers | ||||||
2 | shall be subject to
the same inspection fee of $0.20
25¢ per | ||||||
3 | ton as provided in this Act. The
increased fees shall be | ||||||
4 | effective after June 30, 1989.
| ||||||
5 | (b) Every person who distributes a commercial fertilizer or | ||||||
6 | custom mix
in this State shall file with the Director, on forms | ||||||
7 | furnished by the
Director, a semi-annual statement for the | ||||||
8 | periods ending June 30 and
December 31, setting forth the | ||||||
9 | number of net tons of each grade of
commercial fertilizers | ||||||
10 | within a brand or the net tons of custom mix
distributed. The | ||||||
11 | report shall be due on or before the 15th day of the month
| ||||||
12 | following the close of each semi-annual period and upon the | ||||||
13 | statement
shall pay the inspection fee at the rate stated in | ||||||
14 | paragraph (a) of this
Section.
| ||||||
15 | One half of the $0.20
25¢ per ton inspection fee shall be | ||||||
16 | paid into the
Fertilizer Control Fund and all other fees | ||||||
17 | collected under this
Section shall be paid into the State | ||||||
18 | treasury.
| ||||||
19 | If the tonnage report is not filed and the payment of | ||||||
20 | inspection fee is
not made within 30 days after the end of the | ||||||
21 | semi-annual period, a
collection fee amounting to 10% (minimum | ||||||
22 | $10) of the amount shall be
assessed against the registrant. | ||||||
23 | The amount of fees due shall
constitute a debt and become the | ||||||
24 | basis of a judgment against the
registrant. Upon the written | ||||||
25 | request to the Director additional time may be
granted past the | ||||||
26 | normal date of filing the semi-annual statement.
|
| |||||||
| |||||||
1 | When more than one person is involved in the distribution | ||||||
2 | of a
commercial fertilizer, the last registrant who distributes | ||||||
3 | to the
non-registrant (dealer or consumer) is responsible for | ||||||
4 | reporting the
tonnage and paying the inspection fee.
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
6 | Section 190. The Illinois Vehicle Code is amended by | ||||||
7 | changing Sections 2-119, 2-123, 2-124, 3-403, 3-405.1, 3-811, | ||||||
8 | 5-101, 5-102, 6-118, 7-707, 18c-1501, 18c-1502.05, and | ||||||
9 | 18c-1502.10 as follows:
| ||||||
10 | (625 ILCS 5/2-119) (from Ch. 95 1/2, par. 2-119)
| ||||||
11 | Sec. 2-119. Disposition of fees and taxes.
| ||||||
12 | (a) All moneys received from Salvage Certificates shall be | ||||||
13 | deposited in
the Common School Fund in the State Treasury.
| ||||||
14 | (b) Beginning January 1, 1990 and concluding December 31, | ||||||
15 | 1994, of the
money collected for each certificate of title, | ||||||
16 | duplicate certificate of
title and corrected certificate of | ||||||
17 | title, $0.50 shall be deposited into the
Used Tire Management | ||||||
18 | Fund. Beginning January 1, 1990 and concluding
December 31, | ||||||
19 | 1994, of the money collected for each certificate of title,
| ||||||
20 | duplicate certificate of title and corrected certificate of | ||||||
21 | title, $1.50
shall be deposited in the Park and Conservation | ||||||
22 | Fund.
| ||||||
23 | Beginning January 1, 1995, of the money collected for each | ||||||
24 | certificate of
title, duplicate certificate of title and |
| |||||||
| |||||||
1 | corrected certificate of title, $2
shall be deposited in the | ||||||
2 | Park and Conservation Fund. The moneys deposited in
the Park | ||||||
3 | and Conservation Fund pursuant to this Section shall be used | ||||||
4 | for the
acquisition and development of bike paths as provided | ||||||
5 | for in Section 805-420 of
the Department of Natural Resources | ||||||
6 | (Conservation) Law (20 ILCS 805/805-420).
| ||||||
7 | Beginning January 1, 2000, of
the
moneys collected for each | ||||||
8 | certificate of title, duplicate certificate of title,
and | ||||||
9 | corrected certificate of title, $48 shall be deposited into the | ||||||
10 | Road Fund
and $4 shall be deposited into the Motor Vehicle | ||||||
11 | License Plate Fund, except
that if the balance in the Motor | ||||||
12 | Vehicle License Plate Fund exceeds $40,000,000
on the last day | ||||||
13 | of a calendar month, then during the next calendar month the $4
| ||||||
14 | shall instead be deposited into the Road Fund.
| ||||||
15 | Beginning January 1, 2005, of the moneys collected for each | ||||||
16 | delinquent vehicle registration renewal fee, $20 shall be | ||||||
17 | deposited into the General Revenue Fund. | ||||||
18 | Except as otherwise provided in this Code, all remaining | ||||||
19 | moneys collected
for certificates of title, and all moneys | ||||||
20 | collected for filing of security
interests, shall be placed in | ||||||
21 | the General Revenue Fund in the State Treasury.
| ||||||
22 | (c) All moneys collected for that portion of a driver's | ||||||
23 | license fee
designated for driver education under Section 6-118 | ||||||
24 | shall be placed in
the Driver Education Fund in the State | ||||||
25 | Treasury.
| ||||||
26 | (d) Beginning January 1, 1999, of the monies collected as a |
| |||||||
| |||||||
1 | registration
fee for each motorcycle, motor driven cycle and | ||||||
2 | motorized pedalcycle, 27%
of each annual registration fee for | ||||||
3 | such vehicle and 27% of each semiannual
registration fee for | ||||||
4 | such vehicle is deposited in the Cycle Rider Safety
Training | ||||||
5 | Fund.
| ||||||
6 | (e) Of the monies received by the Secretary of State as | ||||||
7 | registration
fees or taxes or as payment of any other fee, as | ||||||
8 | provided in this Act, except
fees received by the Secretary | ||||||
9 | under paragraph (7) of subsection (b) of Section
5-101 and | ||||||
10 | Section 5-109 of this Code, 37% shall be deposited into the | ||||||
11 | State
Construction Fund.
| ||||||
12 | (f) Of the total money collected for a CDL instruction | ||||||
13 | permit or
original or renewal issuance of a commercial driver's | ||||||
14 | license (CDL)
pursuant to the Uniform Commercial Driver's | ||||||
15 | License Act (UCDLA): (i) $6 of the
total fee for an original or | ||||||
16 | renewal CDL, and $6 of the total CDL
instruction permit fee | ||||||
17 | when such permit is issued to any person holding a
valid | ||||||
18 | Illinois driver's license, shall be paid into the | ||||||
19 | CDLIS/AAMVAnet
Trust Fund (Commercial Driver's License | ||||||
20 | Information System/American
Association of Motor Vehicle | ||||||
21 | Administrators network Trust Fund) and shall
be used for the | ||||||
22 | purposes provided in Section 6z-23 of the State Finance Act
and | ||||||
23 | (ii) $20 of the total fee for an original or renewal CDL or | ||||||
24 | commercial
driver instruction permit shall be paid
into the | ||||||
25 | Motor Carrier Safety Inspection Fund, which is hereby created | ||||||
26 | as a
special fund in the State Treasury, to be used by
the |
| |||||||
| |||||||
1 | Department
of State Police, subject to appropriation, to hire | ||||||
2 | additional officers to
conduct motor carrier safety
| ||||||
3 | inspections
pursuant to Chapter 18b of this Code.
| ||||||
4 | (g) All remaining moneys received by the Secretary of State | ||||||
5 | as
registration fees or taxes or as payment of any other fee, | ||||||
6 | as provided in
this Act, except fees received by the Secretary | ||||||
7 | under paragraph (7)(A) of
subsection (b) of Section 5-101 and | ||||||
8 | Section 5-109 of this Code,
shall be deposited in the Road Fund | ||||||
9 | in the State Treasury. Moneys
in the Road Fund shall be used | ||||||
10 | for the purposes provided in
Section 8.3 of the State Finance | ||||||
11 | Act.
| ||||||
12 | (h) (Blank).
| ||||||
13 | (i) (Blank).
| ||||||
14 | (j) (Blank).
| ||||||
15 | (k) There is created in the State Treasury a special fund | ||||||
16 | to be known as
the Secretary of State Special License Plate | ||||||
17 | Fund. Money deposited into the
Fund shall, subject to | ||||||
18 | appropriation, be used by the Office of the Secretary
of State | ||||||
19 | (i) to help defray plate manufacturing and plate processing | ||||||
20 | costs
for the issuance and, when applicable, renewal of any new | ||||||
21 | or existing special
registration plates authorized under this | ||||||
22 | Code and (ii) for grants made by the
Secretary of State to | ||||||
23 | benefit Illinois Veterans Home libraries.
| ||||||
24 | On or before October 1, 1995, the Secretary of State shall | ||||||
25 | direct the
State Comptroller and State Treasurer to transfer | ||||||
26 | any unexpended balance in
the Special Environmental License |
| |||||||
| |||||||
1 | Plate Fund, the Special Korean War Veteran
License Plate Fund, | ||||||
2 | and the Retired Congressional License Plate Fund to the
| ||||||
3 | Secretary of State Special License Plate Fund.
| ||||||
4 | (l) The Motor Vehicle Review Board Fund is created as a | ||||||
5 | special fund in
the State Treasury. Moneys deposited into the | ||||||
6 | Fund under paragraph (7) of
subsection (b) of Section 5-101 and | ||||||
7 | Section 5-109 shall,
subject to appropriation, be used by the | ||||||
8 | Office of the Secretary of State to
administer the Motor | ||||||
9 | Vehicle Review Board, including without
limitation payment of | ||||||
10 | compensation and all necessary expenses incurred in
| ||||||
11 | administering the Motor Vehicle Review Board under the Motor | ||||||
12 | Vehicle Franchise
Act.
| ||||||
13 | (m) Effective July 1, 1996, there is created in the State
| ||||||
14 | Treasury a special fund to be known as the Family | ||||||
15 | Responsibility Fund. Moneys
deposited into the Fund shall, | ||||||
16 | subject to appropriation, be used by the Office
of the | ||||||
17 | Secretary of State for the purpose of enforcing the Family | ||||||
18 | Financial
Responsibility Law.
| ||||||
19 | (n) The Illinois Fire Fighters' Memorial Fund is created as | ||||||
20 | a special
fund in the State Treasury. Moneys deposited into the | ||||||
21 | Fund shall, subject
to appropriation, be used by the Office of | ||||||
22 | the State Fire Marshal for
construction of the Illinois Fire | ||||||
23 | Fighters' Memorial to be located at the
State Capitol grounds | ||||||
24 | in Springfield, Illinois. Upon the completion of the
Memorial, | ||||||
25 | moneys in the Fund shall be used in accordance with Section | ||||||
26 | 3-634.
|
| |||||||
| |||||||
1 | (o) Of the money collected for each certificate of title | ||||||
2 | for all-terrain
vehicles and off-highway motorcycles, $17 | ||||||
3 | shall be deposited into the
Off-Highway Vehicle Trails Fund.
| ||||||
4 | (p) (Blank).
For audits conducted on or after July 1, 2003 | ||||||
5 | pursuant to Section
2-124(d) of this Code, 50% of the money | ||||||
6 | collected as audit fees shall be
deposited
into the General | ||||||
7 | Revenue Fund.
| ||||||
8 | (Source: P.A. 92-16, eff. 6-28-01; 93-32, eff. 7-1-03; 93-840, | ||||||
9 | eff. 7-30-04.)
| ||||||
10 | (625 ILCS 5/2-123) (from Ch. 95 1/2, par. 2-123)
| ||||||
11 | Sec. 2-123. Sale and Distribution of Information.
| ||||||
12 | (a) Except as otherwise provided in this Section, the | ||||||
13 | Secretary may make the
driver's license, vehicle and title | ||||||
14 | registration lists, in part or in whole,
and any statistical | ||||||
15 | information derived from these lists available to local
| ||||||
16 | governments, elected state officials, state educational | ||||||
17 | institutions, and all
other governmental units of the State and | ||||||
18 | Federal
Government
requesting them for governmental purposes. | ||||||
19 | The Secretary shall require any such
applicant for services to | ||||||
20 | pay for the costs of furnishing such services and the
use of | ||||||
21 | the equipment involved, and in addition is empowered to | ||||||
22 | establish prices
and charges for the services so furnished and | ||||||
23 | for the use of the electronic
equipment utilized.
| ||||||
24 | (b) The Secretary is further empowered to and he may, in | ||||||
25 | his discretion,
furnish to any applicant, other than listed in |
| |||||||
| |||||||
1 | subsection (a) of this Section,
vehicle or driver data on a | ||||||
2 | computer tape, disk, other electronic format or
computer | ||||||
3 | processable medium, or printout at a fixed fee of
$250 for | ||||||
4 | orders received before October 1, 2003 and for orders received | ||||||
5 | on an after the effective date of this amendatory Act of the | ||||||
6 | 96th General Assembly and $500 for orders received
on or after | ||||||
7 | October 1, 2003 until the effective date of this amendatory Act | ||||||
8 | of the 96th General Assembly , in advance, and require in | ||||||
9 | addition a
further sufficient
deposit based upon the Secretary | ||||||
10 | of State's estimate of the total cost of the
information | ||||||
11 | requested and a charge of $25 for orders received before | ||||||
12 | October
1, 2003 and for orders received on an after the | ||||||
13 | effective date of this amendatory Act of the 96th General | ||||||
14 | Assembly and $50 for orders received on or after October 1, | ||||||
15 | 2003 until the effective date of this amendatory Act of the | ||||||
16 | 96th General Assembly , per 1,000
units or part
thereof | ||||||
17 | identified or the actual cost, whichever is greater. The | ||||||
18 | Secretary is
authorized to refund any difference between the | ||||||
19 | additional deposit and the
actual cost of the request. This | ||||||
20 | service shall not be in lieu of an abstract
of a driver's | ||||||
21 | record nor of a title or registration search. This service may
| ||||||
22 | be limited to entities purchasing a minimum number of records | ||||||
23 | as required by
administrative rule. The information
sold | ||||||
24 | pursuant to this subsection shall be the entire vehicle or | ||||||
25 | driver data
list, or part thereof. The information sold | ||||||
26 | pursuant to this subsection
shall not contain personally |
| |||||||
| |||||||
1 | identifying information unless the information is
to be used | ||||||
2 | for one of the purposes identified in subsection (f-5) of this
| ||||||
3 | Section. Commercial purchasers of driver and vehicle record | ||||||
4 | databases shall
enter into a written agreement with the | ||||||
5 | Secretary of State that includes
disclosure of the commercial | ||||||
6 | use of the information to be purchased. | ||||||
7 | (b-1) The Secretary is further empowered to and may, in his | ||||||
8 | or her discretion, furnish vehicle or driver data on a computer | ||||||
9 | tape, disk, or other electronic format or computer processible | ||||||
10 | medium, at no fee, to any State or local governmental agency | ||||||
11 | that uses the information provided by the Secretary to transmit | ||||||
12 | data back to the Secretary that enables the Secretary to | ||||||
13 | maintain accurate driving records, including dispositions of | ||||||
14 | traffic cases. This information may be provided without fee not | ||||||
15 | more often than once every 6 months.
| ||||||
16 | (c) Secretary of State may issue registration lists. The | ||||||
17 | Secretary
of State may compile a list of all registered
| ||||||
18 | vehicles. Each list of registered vehicles shall be arranged | ||||||
19 | serially
according to the registration numbers assigned to | ||||||
20 | registered vehicles and
may contain in addition the names and | ||||||
21 | addresses of registered owners and
a brief description of each | ||||||
22 | vehicle including the serial or other
identifying number | ||||||
23 | thereof. Such compilation may be in such form as in the
| ||||||
24 | discretion of the Secretary of State may seem best for the | ||||||
25 | purposes intended.
| ||||||
26 | (d) The Secretary of State shall furnish no more than 2 |
| |||||||
| |||||||
1 | current available
lists of such registrations to the sheriffs | ||||||
2 | of all counties and to the chiefs
of police of all cities and | ||||||
3 | villages and towns of 2,000 population and over
in this State | ||||||
4 | at no cost. Additional copies may be purchased by the sheriffs
| ||||||
5 | or chiefs of police at the fee
of $500 each or at the cost of | ||||||
6 | producing the list as determined
by the Secretary of State. | ||||||
7 | Such lists are to be used for governmental
purposes only.
| ||||||
8 | (e) (Blank).
| ||||||
9 | (e-1) (Blank).
| ||||||
10 | (f) The Secretary of State shall make a title or | ||||||
11 | registration search of the
records of his office and a written | ||||||
12 | report on the same for any person, upon
written application of | ||||||
13 | such person, accompanied by a fee of $5 for
each registration | ||||||
14 | or title search. The written application shall set forth
the | ||||||
15 | intended use of the requested information. No fee shall be | ||||||
16 | charged for a
title or
registration search, or for the | ||||||
17 | certification thereof requested by a government
agency. The | ||||||
18 | report of the title or registration search shall not contain
| ||||||
19 | personally identifying information unless the request for a | ||||||
20 | search was made for
one of the purposes identified in | ||||||
21 | subsection (f-5) of this Section. The report of the title or | ||||||
22 | registration search shall not contain highly
restricted | ||||||
23 | personal
information unless specifically authorized by this | ||||||
24 | Code.
| ||||||
25 | The Secretary of State shall certify a title or | ||||||
26 | registration record upon
written request. The fee for |
| |||||||
| |||||||
1 | certification shall be $5 in addition
to the fee required for a | ||||||
2 | title or registration search. Certification shall
be made under | ||||||
3 | the signature of the Secretary of State and shall be
| ||||||
4 | authenticated by Seal of the Secretary of State.
| ||||||
5 | The Secretary of State may notify the vehicle owner or | ||||||
6 | registrant of
the request for purchase of his title or | ||||||
7 | registration information as the
Secretary deems appropriate.
| ||||||
8 | No information shall be released to the requestor until | ||||||
9 | expiration of a
10 day period. This 10 day period shall not | ||||||
10 | apply to requests for
information made by law enforcement | ||||||
11 | officials, government agencies,
financial institutions, | ||||||
12 | attorneys, insurers, employers, automobile
associated | ||||||
13 | businesses, persons licensed as a private detective or firms
| ||||||
14 | licensed as a private detective agency under the Private | ||||||
15 | Detective, Private
Alarm, Private Security, Fingerprint | ||||||
16 | Vendor, and Locksmith Act of 2004, who are employed by or are
| ||||||
17 | acting on
behalf of law enforcement officials, government | ||||||
18 | agencies, financial
institutions, attorneys, insurers, | ||||||
19 | employers, automobile associated businesses,
and other | ||||||
20 | business entities for purposes consistent with the Illinois | ||||||
21 | Vehicle
Code, the vehicle owner or registrant or other entities | ||||||
22 | as the Secretary may
exempt by rule and regulation.
| ||||||
23 | Any misrepresentation made by a requestor of title or | ||||||
24 | vehicle information
shall be punishable as a petty offense, | ||||||
25 | except in the case of persons
licensed as a private detective | ||||||
26 | or firms licensed as a private detective agency
which shall be |
| |||||||
| |||||||
1 | subject to disciplinary sanctions under Section 40-10 of the
| ||||||
2 | Private Detective, Private Alarm, Private Security, | ||||||
3 | Fingerprint Vendor, and Locksmith Act of 2004.
| ||||||
4 | (f-5) The Secretary of State shall not disclose or | ||||||
5 | otherwise make
available to
any person or entity any personally | ||||||
6 | identifying information obtained by the
Secretary
of State in | ||||||
7 | connection with a driver's license, vehicle, or title | ||||||
8 | registration
record
unless the information is disclosed for one | ||||||
9 | of the following purposes:
| ||||||
10 | (1) For use by any government agency, including any | ||||||
11 | court or law
enforcement agency, in carrying out its | ||||||
12 | functions, or any private person or
entity acting on behalf | ||||||
13 | of a federal, State, or local agency in carrying out
its
| ||||||
14 | functions.
| ||||||
15 | (2) For use in connection with matters of motor vehicle | ||||||
16 | or driver safety
and theft; motor vehicle emissions; motor | ||||||
17 | vehicle product alterations, recalls,
or advisories; | ||||||
18 | performance monitoring of motor vehicles, motor vehicle | ||||||
19 | parts,
and dealers; and removal of non-owner records from | ||||||
20 | the original owner
records of motor vehicle manufacturers.
| ||||||
21 | (3) For use in the normal course of business by a | ||||||
22 | legitimate business or
its agents, employees, or | ||||||
23 | contractors, but only:
| ||||||
24 | (A) to verify the accuracy of personal information | ||||||
25 | submitted by
an individual to the business or its | ||||||
26 | agents, employees, or contractors;
and
|
| |||||||
| |||||||
1 | (B) if such information as so submitted is not | ||||||
2 | correct or is no
longer correct, to obtain the correct | ||||||
3 | information, but only for the
purposes of preventing | ||||||
4 | fraud by, pursuing legal remedies against, or
| ||||||
5 | recovering on a debt or security interest against, the | ||||||
6 | individual.
| ||||||
7 | (4) For use in research activities and for use in | ||||||
8 | producing statistical
reports, if the personally | ||||||
9 | identifying information is not published,
redisclosed, or | ||||||
10 | used to
contact individuals.
| ||||||
11 | (5) For use in connection with any civil, criminal, | ||||||
12 | administrative, or
arbitral proceeding in any federal, | ||||||
13 | State, or local court or agency or before
any
| ||||||
14 | self-regulatory body, including the service of process, | ||||||
15 | investigation in
anticipation of litigation, and the | ||||||
16 | execution or enforcement of judgments and
orders, or | ||||||
17 | pursuant to an order of a federal, State, or local court.
| ||||||
18 | (6) For use by any insurer or insurance support | ||||||
19 | organization or by a
self-insured entity or its agents, | ||||||
20 | employees, or contractors in connection with
claims | ||||||
21 | investigation activities, antifraud activities, rating, or | ||||||
22 | underwriting.
| ||||||
23 | (7) For use in providing notice to the owners of towed | ||||||
24 | or
impounded vehicles.
| ||||||
25 | (8) For use by any person licensed as a private | ||||||
26 | detective or firm licensed as a private
detective agency |
| |||||||
| |||||||
1 | under
the Private Detective, Private Alarm, Private | ||||||
2 | Security, Fingerprint Vendor, and Locksmith Act of
2004, | ||||||
3 | private investigative agency or security service
licensed | ||||||
4 | in Illinois for any purpose permitted under this | ||||||
5 | subsection.
| ||||||
6 | (9) For use by an employer or its agent or insurer to | ||||||
7 | obtain or verify
information relating to a holder of a | ||||||
8 | commercial driver's license that is
required under chapter | ||||||
9 | 313 of title 49 of the United States Code.
| ||||||
10 | (10) For use in connection with the operation of | ||||||
11 | private toll
transportation facilities.
| ||||||
12 | (11) For use by any requester, if the requester | ||||||
13 | demonstrates it has
obtained the written consent of the | ||||||
14 | individual to whom the information
pertains.
| ||||||
15 | (12) For use by members of the news media, as defined | ||||||
16 | in
Section 1-148.5, for the purpose of newsgathering when | ||||||
17 | the request relates to
the
operation of a motor vehicle or | ||||||
18 | public safety.
| ||||||
19 | (13) For any other use specifically authorized by law, | ||||||
20 | if that use is
related to the operation of a motor vehicle | ||||||
21 | or public safety. | ||||||
22 | (f-6) The Secretary of State shall not disclose or | ||||||
23 | otherwise make
available to any
person or entity any highly | ||||||
24 | restricted personal information obtained by the
Secretary of
| ||||||
25 | State in connection with a driver's license, vehicle, or
title | ||||||
26 | registration
record unless
specifically authorized by this |
| |||||||
| |||||||
1 | Code.
| ||||||
2 | (g) 1. The Secretary of State may, upon receipt of a | ||||||
3 | written request
and a fee of $6 before October 1, 2003 and | ||||||
4 | on and after the effective date of this amendatory Act of | ||||||
5 | the 96th General Assembly and a fee of $12 on and after | ||||||
6 | October
1, 2003 until the effective date of this amendatory | ||||||
7 | Act of the 96th General Assembly , furnish to the person or | ||||||
8 | agency so requesting a
driver's record. Such document may | ||||||
9 | include a record of: current driver's
license issuance | ||||||
10 | information, except that the information on judicial | ||||||
11 | driving
permits shall be available only as otherwise | ||||||
12 | provided by this Code;
convictions; orders entered | ||||||
13 | revoking, suspending or cancelling a
driver's
license or | ||||||
14 | privilege; and notations of accident involvement. All | ||||||
15 | other
information, unless otherwise permitted by
this | ||||||
16 | Code, shall remain confidential. Information released | ||||||
17 | pursuant to a
request for a driver's record shall not | ||||||
18 | contain personally identifying
information, unless the | ||||||
19 | request for the driver's record was made for one of the
| ||||||
20 | purposes set forth in subsection (f-5) of this Section. The | ||||||
21 | Secretary of State may, without fee, allow a parent or | ||||||
22 | guardian of a person under the age of 18 years, who holds | ||||||
23 | an instruction permit or graduated driver's license, to | ||||||
24 | view that person's driving record online, through a | ||||||
25 | computer connection.
The parent or guardian's online | ||||||
26 | access to the driving record will terminate when the |
| |||||||
| |||||||
1 | instruction permit or graduated driver's license holder | ||||||
2 | reaches the age of 18.
| ||||||
3 | 2. The Secretary of State shall not disclose or | ||||||
4 | otherwise make available
to any
person or
entity any highly | ||||||
5 | restricted personal information obtained by the Secretary | ||||||
6 | of
State in
connection with a driver's license, vehicle, or | ||||||
7 | title
registration record
unless specifically
authorized | ||||||
8 | by this Code. The Secretary of State may certify an | ||||||
9 | abstract of a driver's record
upon written request | ||||||
10 | therefor. Such certification
shall be made under the | ||||||
11 | signature of the Secretary of State and shall be
| ||||||
12 | authenticated by the Seal of his office.
| ||||||
13 | 3. All requests for driving record information shall be | ||||||
14 | made in a manner
prescribed by the Secretary and shall set | ||||||
15 | forth the intended use of the
requested information.
| ||||||
16 | The Secretary of State may notify the affected driver | ||||||
17 | of the request
for purchase of his driver's record as the | ||||||
18 | Secretary deems appropriate.
| ||||||
19 | No information shall be released to the requester until | ||||||
20 | expiration of a
10 day period. This 10 day period shall not | ||||||
21 | apply to requests for information
made by law enforcement | ||||||
22 | officials, government agencies, financial institutions,
| ||||||
23 | attorneys, insurers, employers, automobile associated | ||||||
24 | businesses, persons
licensed as a private detective or | ||||||
25 | firms licensed as a private detective agency
under the | ||||||
26 | Private Detective, Private Alarm, Private Security, |
| |||||||
| |||||||
1 | Fingerprint Vendor, and Locksmith Act
of 2004,
who are | ||||||
2 | employed by or are acting on behalf of law enforcement | ||||||
3 | officials,
government agencies, financial institutions, | ||||||
4 | attorneys, insurers, employers,
automobile associated | ||||||
5 | businesses, and other business entities for purposes
| ||||||
6 | consistent with the Illinois Vehicle Code, the affected | ||||||
7 | driver or other
entities as the Secretary may exempt by | ||||||
8 | rule and regulation.
| ||||||
9 | Any misrepresentation made by a requestor of driver | ||||||
10 | information shall
be punishable as a petty offense, except | ||||||
11 | in the case of persons licensed as
a private detective or | ||||||
12 | firms licensed as a private detective agency which shall
be | ||||||
13 | subject to disciplinary sanctions under Section 40-10 of | ||||||
14 | the Private
Detective, Private Alarm, Private Security, | ||||||
15 | Fingerprint Vendor, and Locksmith Act of 2004.
| ||||||
16 | 4. The Secretary of State may furnish without fee, upon | ||||||
17 | the written
request of a law enforcement agency, any | ||||||
18 | information from a driver's
record on file with the | ||||||
19 | Secretary of State when such information is required
in the | ||||||
20 | enforcement of this Code or any other law relating to the | ||||||
21 | operation
of motor vehicles, including records of | ||||||
22 | dispositions; documented
information involving the use of | ||||||
23 | a motor vehicle; whether such individual
has, or previously | ||||||
24 | had, a driver's license; and the address and personal
| ||||||
25 | description as reflected on said driver's record.
| ||||||
26 | 5. Except as otherwise provided in this Section, the |
| |||||||
| |||||||
1 | Secretary of
State may furnish, without fee, information | ||||||
2 | from an individual driver's
record on file, if a written | ||||||
3 | request therefor is submitted
by any public transit system | ||||||
4 | or authority, public defender, law enforcement
agency, a | ||||||
5 | state or federal agency, or an Illinois local | ||||||
6 | intergovernmental
association, if the request is for the | ||||||
7 | purpose of a background check of
applicants for employment | ||||||
8 | with the requesting agency, or for the purpose of
an | ||||||
9 | official investigation conducted by the agency, or to | ||||||
10 | determine a
current address for the driver so public funds | ||||||
11 | can be recovered or paid to
the driver, or for any other | ||||||
12 | purpose set forth in subsection (f-5)
of this Section.
| ||||||
13 | The Secretary may also furnish the courts a copy of an | ||||||
14 | abstract of a
driver's record, without fee, subsequent to | ||||||
15 | an arrest for a violation of
Section 11-501 or a similar | ||||||
16 | provision of a local ordinance. Such abstract
may include | ||||||
17 | records of dispositions; documented information involving
| ||||||
18 | the use of a motor vehicle as contained in the current | ||||||
19 | file; whether such
individual has, or previously had, a | ||||||
20 | driver's license; and the address and
personal description | ||||||
21 | as reflected on said driver's record.
| ||||||
22 | 6. Any certified abstract issued by the Secretary of | ||||||
23 | State or
transmitted electronically by the Secretary of | ||||||
24 | State pursuant to this
Section,
to a court or on request of | ||||||
25 | a law enforcement agency, for the record of a
named person | ||||||
26 | as to the status of the person's driver's license shall be
|
| |||||||
| |||||||
1 | prima facie evidence of the facts therein stated and if the | ||||||
2 | name appearing
in such abstract is the same as that of a | ||||||
3 | person named in an information or
warrant, such abstract | ||||||
4 | shall be prima facie evidence that the person named
in such | ||||||
5 | information or warrant is the same person as the person | ||||||
6 | named in
such abstract and shall be admissible for any | ||||||
7 | prosecution under this Code and
be admitted as proof of any | ||||||
8 | prior conviction or proof of records, notices, or
orders | ||||||
9 | recorded on individual driving records maintained by the | ||||||
10 | Secretary of
State.
| ||||||
11 | 7. Subject to any restrictions contained in the | ||||||
12 | Juvenile Court Act of
1987, and upon receipt of a proper | ||||||
13 | request and a fee of $6 before October 1,
2003 and on and | ||||||
14 | after the effective date of this amendatory Act of the 96th | ||||||
15 | General Assembly and a fee of $12 on or after October 1, | ||||||
16 | 2003 until the effective date of this amendatory Act of the | ||||||
17 | 96th General Assembly , the
Secretary of
State shall provide | ||||||
18 | a driver's record to the affected driver, or the affected
| ||||||
19 | driver's attorney, upon verification. Such record shall | ||||||
20 | contain all the
information referred to in paragraph 1 of | ||||||
21 | this subsection (g) plus: any
recorded accident | ||||||
22 | involvement as a driver; information recorded pursuant to
| ||||||
23 | subsection (e) of Section 6-117 and paragraph (4) of | ||||||
24 | subsection (a) of
Section 6-204 of this Code. All other | ||||||
25 | information, unless otherwise permitted
by this Code, | ||||||
26 | shall remain confidential.
|
| |||||||
| |||||||
1 | (h) The Secretary shall not disclose social security | ||||||
2 | numbers or any associated information obtained from the Social | ||||||
3 | Security Administration except pursuant
to a written request | ||||||
4 | by, or with the prior written consent of, the
individual | ||||||
5 | except: (1) to officers and employees of the Secretary
who
have | ||||||
6 | a need to know the social security numbers in performance of | ||||||
7 | their
official duties, (2) to law enforcement officials for a | ||||||
8 | lawful, civil or
criminal law enforcement investigation, and if | ||||||
9 | the head of the law enforcement
agency has made a written | ||||||
10 | request to the Secretary specifying the law
enforcement | ||||||
11 | investigation for which the social security numbers are being
| ||||||
12 | sought, (3) to the United States Department of Transportation, | ||||||
13 | or any other
State, pursuant to the administration and | ||||||
14 | enforcement of the Commercial
Motor Vehicle Safety Act of 1986, | ||||||
15 | (4) pursuant to the order of a court
of competent jurisdiction, | ||||||
16 | or (5) to the Department of Healthcare and Family Services | ||||||
17 | (formerly Department of Public Aid) for
utilization
in the | ||||||
18 | child support enforcement duties assigned to that Department | ||||||
19 | under
provisions of the Illinois Public Aid Code after the | ||||||
20 | individual has received advanced
meaningful notification of | ||||||
21 | what redisclosure is sought by the Secretary in
accordance with | ||||||
22 | the federal Privacy Act.
| ||||||
23 | (i) (Blank).
| ||||||
24 | (j) Medical statements or medical reports received in the | ||||||
25 | Secretary of
State's Office shall be confidential. No | ||||||
26 | confidential information may be
open to public inspection or |
| |||||||
| |||||||
1 | the contents disclosed to anyone, except
officers and employees | ||||||
2 | of the Secretary who have a need to know the information
| ||||||
3 | contained in the medical reports and the Driver License Medical | ||||||
4 | Advisory
Board, unless so directed by an order of a court of | ||||||
5 | competent jurisdiction.
| ||||||
6 | (k) All fees collected under this Section shall be paid | ||||||
7 | into the Road
Fund of the State Treasury, except that (i) for | ||||||
8 | fees collected before October
1, 2003, $3 of the $6 fee for a
| ||||||
9 | driver's record shall be paid into the Secretary of State | ||||||
10 | Special Services
Fund, (ii) for fees collected on and after | ||||||
11 | October 1, 2003 until the effective date of this amendatory Act | ||||||
12 | of the 96th General Assembly , of the $12 fee
for a driver's | ||||||
13 | record, $3 shall be paid into the Secretary of State Special
| ||||||
14 | Services Fund and $6 shall be paid into the General Revenue | ||||||
15 | Fund, and (iii) for
fees collected on and after October 1, 2003 | ||||||
16 | until the effective date of this amendatory Act of the 96th | ||||||
17 | General Assembly , 50% of the amounts collected
pursuant to | ||||||
18 | subsection (b) shall be paid into the General Revenue Fund.
| ||||||
19 | (l) (Blank).
| ||||||
20 | (m) Notations of accident involvement that may be disclosed | ||||||
21 | under this
Section shall not include notations relating to | ||||||
22 | damage to a vehicle or other
property being transported by a | ||||||
23 | tow truck. This information shall remain
confidential, | ||||||
24 | provided that nothing in this subsection (m) shall limit
| ||||||
25 | disclosure of any notification of accident involvement to any | ||||||
26 | law enforcement
agency or official.
|
| |||||||
| |||||||
1 | (n) Requests made by the news media for driver's license, | ||||||
2 | vehicle, or
title registration information may be furnished | ||||||
3 | without charge or at a reduced
charge, as determined by the | ||||||
4 | Secretary, when the specific purpose for
requesting the | ||||||
5 | documents is deemed to be in the public interest. Waiver or
| ||||||
6 | reduction of the fee is in the public interest if the principal | ||||||
7 | purpose of the
request is to access and disseminate information | ||||||
8 | regarding the health, safety,
and welfare or the legal rights | ||||||
9 | of the general public and is not for the
principal purpose of | ||||||
10 | gaining a personal or commercial benefit.
The information | ||||||
11 | provided pursuant to this subsection shall not contain
| ||||||
12 | personally identifying information unless the information is | ||||||
13 | to be used for one
of the
purposes identified in subsection | ||||||
14 | (f-5) of this Section.
| ||||||
15 | (o) The redisclosure of personally identifying information
| ||||||
16 | obtained
pursuant
to this Section is prohibited, except to the | ||||||
17 | extent necessary to effectuate the
purpose
for which the | ||||||
18 | original disclosure of the information was permitted.
| ||||||
19 | (p) The Secretary of State is empowered to adopt rules
to
| ||||||
20 | effectuate this Section.
| ||||||
21 | (Source: P.A. 94-56, eff. 6-17-05; 95-201, eff. 1-1-08; 95-287, | ||||||
22 | eff. 1-1-08; 95-331, eff. 8-21-07; 95-613, eff. 9-11-07; | ||||||
23 | 95-876, eff. 8-21-08.)
| ||||||
24 | (625 ILCS 5/2-124) (from Ch. 95 1/2, par. 2-124)
| ||||||
25 | Sec. 2-124. Audits, interest and penalties.
|
| |||||||
| |||||||
1 | (a) Audits. The Secretary of State or employees and agents
| ||||||
2 | designated by him, may audit the books, records, tax returns, | ||||||
3 | reports,
and any and all other pertinent records or documents | ||||||
4 | of any person
licensed or registered, or required to be | ||||||
5 | licensed or registered, under
any provisions of this Act, for | ||||||
6 | the purpose of determining whether such
person has not paid any | ||||||
7 | fees or taxes required to be paid to the
Secretary of State and | ||||||
8 | due to the State of Illinois.
For purposes of this Section, | ||||||
9 | "person" means an individual, corporation,
or partnership, or | ||||||
10 | an officer or an employee of any corporation, including
a | ||||||
11 | dissolved corporation, or a member or an employee of any | ||||||
12 | partnership, who
as an officer, employee, or member under a | ||||||
13 | duty to perform the act in
respect to which the violation | ||||||
14 | occurs.
| ||||||
15 | (b) Joint Audits. The Secretary of State may enter into | ||||||
16 | reciprocal
audit agreements with officers, agents or agencies | ||||||
17 | of another State or
States, for joint audits of any person | ||||||
18 | subject to audit under this Act.
| ||||||
19 | (c) Special Audits. If the Secretary of State is not | ||||||
20 | satisfied with
the books, records and documents made available | ||||||
21 | for an audit, or if the
Secretary of State is unable to | ||||||
22 | determine therefrom whether any fees or
taxes are due to the | ||||||
23 | State of Illinois, or if there is cause to believe
that the | ||||||
24 | person audited has declined or refused to supply the books,
| ||||||
25 | records and documents necessary to determine whether a | ||||||
26 | deficiency
exists, the Secretary of State may either seek a |
| |||||||
| |||||||
1 | court order for
production of any and all books, records and | ||||||
2 | documents he deems relevant
and material, or, in his | ||||||
3 | discretion, the Secretary of State may instead
give written | ||||||
4 | notice to such person requiring him to produce any and all
| ||||||
5 | books, records and documents necessary to properly audit and | ||||||
6 | determine
whether any fees or taxes are due to the State of | ||||||
7 | Illinois. If such
person fails, refuses or declines to comply | ||||||
8 | with either the court order
or written notice within the time | ||||||
9 | specified, the Secretary of State
shall then order a special | ||||||
10 | audit at the expense of the person affected.
Upon completion of | ||||||
11 | the special audit, the Secretary of State shall
determine if | ||||||
12 | any fees or taxes required to be paid under this Act have
not | ||||||
13 | been paid, and make an assessment of any deficiency based upon | ||||||
14 | the
books, records and documents available to him, and in an | ||||||
15 | assessment, he
may rely upon records of other persons having an | ||||||
16 | operation similar to
that of the person audited specially. A | ||||||
17 | person audited specially and
subject to a court order and in | ||||||
18 | default thereof, shall in addition, be
subject to any penalty | ||||||
19 | or punishment imposed by the court entering the
order.
| ||||||
20 | (d) Deficiency; Audit Costs. When a deficiency is found and | ||||||
21 | any fees
or taxes required to be paid under this Act have not | ||||||
22 | been paid to the
State of Illinois, the Secretary of State may | ||||||
23 | impose an audit fee
of $50
$100
per day, or $25
$50 per | ||||||
24 | half-day, per auditor, plus in the case of
out-of-state travel, | ||||||
25 | transportation expenses incurred by the auditor or
auditors. | ||||||
26 | Where more than one person is audited on the same out-of-state
|
| |||||||
| |||||||
1 | trip, the additional transportation expenses may be | ||||||
2 | apportioned. The
actual costs of a special audit shall be | ||||||
3 | imposed upon the person
audited.
| ||||||
4 | (e) Interest. When a deficiency is found and any fees or | ||||||
5 | taxes
required to be paid under this Act have not been paid to | ||||||
6 | the State of
Illinois, the amount of the deficiency, if greater | ||||||
7 | than $100 for all
registration years examined, shall also bear | ||||||
8 | interest at the
rate of 1/2 of 1% per month or fraction | ||||||
9 | thereof, from the date when the
fee or tax due should have been | ||||||
10 | paid under the provisions of this Act,
subject to a maximum of | ||||||
11 | 6% per annum.
| ||||||
12 | (f) Willful Negligence. When a deficiency is determined by | ||||||
13 | the
Secretary to be caused by the willful neglect or negligence | ||||||
14 | of the
person audited, an additional 10% penalty, that is 10% | ||||||
15 | of the amount of
the deficiency or assessment, shall be | ||||||
16 | imposed, and the 10% penalty
shall bear interest at the rate of | ||||||
17 | 1/2 of 1% on and after the 30th day
after the penalty is | ||||||
18 | imposed until paid in full.
| ||||||
19 | (g) Fraud or Evasion. When a deficiency is determined by | ||||||
20 | the
Secretary to be caused by fraud or willful evasion of the | ||||||
21 | provisions of
this Act, an additional penalty, that is 20% of | ||||||
22 | the amount of the
deficiency or assessment, shall be imposed, | ||||||
23 | and the 20% penalty shall
bear interest at the rate of 1/2 of | ||||||
24 | 1% on and after the 30th day after
the penalty is imposed until | ||||||
25 | paid in full.
| ||||||
26 | (h) Notice. The Secretary of State shall give written |
| |||||||
| |||||||
1 | notice to any
person audited, of the amount of any deficiency | ||||||
2 | found or assessment
made, of the costs of an audit or special | ||||||
3 | audit, and of the penalty
imposed, and payment shall be made | ||||||
4 | within 30 days of the date of the
notice unless such person | ||||||
5 | petitions for a hearing.
| ||||||
6 | However, except in the case of fraud or willful evasion, or | ||||||
7 | the
inaccessibility of books and records for audit or with the | ||||||
8 | express
consent of the person audited, no notice of a | ||||||
9 | deficiency or assessment
shall be issued by the Secretary for | ||||||
10 | more than 3 registration years.
This limitation shall commence | ||||||
11 | on any January 1 as to calendar year
registrations and on any | ||||||
12 | July 1 as to fiscal year registrations. This
limitation shall | ||||||
13 | not apply for any period during which the person
affected has | ||||||
14 | declined or refuses to make his books and records available
for | ||||||
15 | audit, nor during any period of time in which an Order of any | ||||||
16 | Court
has the effect of enjoining or restraining the Secretary | ||||||
17 | from making an
audit or issuing a notice.
Notwithstanding, each | ||||||
18 | person licensed under the International Registration
Plan and | ||||||
19 | audited by this State or any member jurisdiction shall follow | ||||||
20 | the
assessment and refund procedures as adopted and amended by | ||||||
21 | the International
Registration Plan members. The Secretary of | ||||||
22 | State shall have the final
decision as to which registrants may | ||||||
23 | be subject to the netting of audit fees as
outlined in the | ||||||
24 | International Registration Plan. Persons audited may be
| ||||||
25 | subject to a review process to determine the final outcome of | ||||||
26 | the audit
finding. This process shall follow the adopted |
| |||||||
| |||||||
1 | procedure as outlined in the
International Registration Plan. | ||||||
2 | All decisions by the IRP designated tribunal
shall be binding.
| ||||||
3 | (i) Every person subject to licensing or registration and | ||||||
4 | audit
under the provisions of this Chapter shall retain all | ||||||
5 | pertinent
licensing and registration documents, books, | ||||||
6 | records, tax returns,
reports and all supporting records and | ||||||
7 | documents for a period of 4
years.
| ||||||
8 | (j) Hearings. Any person receiving written notice of a | ||||||
9 | deficiency or
assessment may, within 30 days after the date of | ||||||
10 | the notice, petition
for a hearing before the Secretary of | ||||||
11 | State or his duly appointed
hearing officer to contest the | ||||||
12 | audit in whole or in part, and the
petitioner shall | ||||||
13 | simultaneously file a certified check or money order,
or | ||||||
14 | certificate of deposit, or a surety bond approved by the | ||||||
15 | Secretary in
the amount of the deficiency or assessment. | ||||||
16 | Hearings shall be held
pursuant to the provisions of Section | ||||||
17 | 2-118 of this Act.
| ||||||
18 | (k) Judgments. The Secretary of State may enforce any | ||||||
19 | notice of
deficiency or assessment pursuant to the provisions | ||||||
20 | of Section 3-831 of
this Act.
| ||||||
21 | (Source: P.A. 92-69, eff. 7-12-01; 93-32, eff. 7-1-03.)
| ||||||
22 | (625 ILCS 5/3-403) (from Ch. 95 1/2, par. 3-403)
| ||||||
23 | Sec. 3-403. Trip and Short-term permits.
| ||||||
24 | (a) The Secretary of State may issue a short-term permit to | ||||||
25 | operate a
nonregistered first or second division vehicle within |
| |||||||
| |||||||
1 | the State of Illinois
for a period of not more than 7 days. Any | ||||||
2 | second division vehicle
operating
on such permit may operate | ||||||
3 | only on empty weight. The fee for the
short-term permit shall | ||||||
4 | be $6 for permits purchased on
or before June 30, 2003 and on | ||||||
5 | or after the effective date of this amendatory Act of the 96th | ||||||
6 | General Assembly
and $10 for permits purchased on or after July | ||||||
7 | 1, 2003 until the effective date of this amendatory Act of the | ||||||
8 | 96th General Assembly . For short-term
permits purchased on or | ||||||
9 | after July 1, 2003 until the effective date of this amendatory | ||||||
10 | Act of the 96th General Assembly , $4 of the fee collected for | ||||||
11 | the
purchase of each permit shall be deposited into the General | ||||||
12 | Revenue Fund.
| ||||||
13 | This permit may also be issued to operate an unladen | ||||||
14 | registered vehicle
which is suspended under the Vehicle | ||||||
15 | Emissions Inspection Law and allow it
to be driven on the roads | ||||||
16 | and highways of the State in order to be repaired
or when | ||||||
17 | travelling to and from an emissions inspection station.
| ||||||
18 | (b) The Secretary of State may, subject to reciprocal | ||||||
19 | agreements,
arrangements or declarations made or entered into | ||||||
20 | pursuant to Section
3-402, 3-402.4 or by rule, provide for and | ||||||
21 | issue registration permits for
the use of Illinois highways by | ||||||
22 | vehicles of the second division on an
occasional basis or for a | ||||||
23 | specific and special short-term use, in
compliance with rules | ||||||
24 | and regulations promulgated by the Secretary of
State, and upon | ||||||
25 | payment of the prescribed fee as follows:
| ||||||
26 | One-trip permits. A registration permit for one trip, or |
| |||||||
| |||||||
1 | one round-trip
into and out of Illinois, for a period not to | ||||||
2 | exceed 72 consecutive hours
or 3 calendar days may be provided, | ||||||
3 | for a fee as prescribed in Section 3-811.
| ||||||
4 | One-Month permits. A registration permit for 30 days may be | ||||||
5 | provided for
a fee of $13 for registration plus 1/10 of the | ||||||
6 | flat weight tax.
The minimum fee for such permit shall be $31.
| ||||||
7 | In-transit permits. A registration permit for one trip may | ||||||
8 | be provided
for vehicles in transit by the driveaway or towaway | ||||||
9 | method and operated
by a transporter in compliance with the | ||||||
10 | Illinois Motor Carrier of Property
Law, for a fee as prescribed | ||||||
11 | in Section 3-811.
| ||||||
12 | Illinois Temporary Apportionment Authorization Permits. An | ||||||
13 | apportionment
authorization permit for forty-five days for the | ||||||
14 | immediate operation of
a vehicle upon application for and prior | ||||||
15 | to receiving apportioned credentials
or interstate credentials | ||||||
16 | from the State of Illinois. The fee for
such permit shall be | ||||||
17 | $3.
| ||||||
18 | Illinois Temporary Prorate Authorization Permit. A prorate | ||||||
19 | authorization
permit for forty-five days for the immediate | ||||||
20 | operation of a vehicle upon
application for and prior to | ||||||
21 | receiving prorate credentials or interstate
credentials from | ||||||
22 | the State of Illinois. The fee for such permit shall be
$3.
| ||||||
23 | (c) The Secretary of State shall promulgate by such rule or | ||||||
24 | regulation,
schedules of fees and taxes for such permits and in | ||||||
25 | computing the amount
or amounts due, may round off such amount | ||||||
26 | to the nearest full dollar amount.
|
| |||||||
| |||||||
1 | (d) The Secretary of State shall further prescribe the form | ||||||
2 | of application
and permit and may require such information and | ||||||
3 | data as necessary and proper,
including confirming the status | ||||||
4 | or identity of the applicant and the vehicle
in question.
| ||||||
5 | (e) Rules or regulations promulgated by the Secretary of | ||||||
6 | State under this
Section shall provide for reasonable and | ||||||
7 | proper limitations and restrictions
governing the application | ||||||
8 | for and issuance and use of permits, and shall
provide for the | ||||||
9 | number of permits per vehicle or per applicant, so as to
| ||||||
10 | preclude evasion of annual registration requirements as may be | ||||||
11 | required by
this Act.
| ||||||
12 | (f) Any permit under this Section is subject to suspension | ||||||
13 | or revocation
under this Act, and in addition, any such permit | ||||||
14 | is subject to suspension
or revocation should the Secretary of | ||||||
15 | State determine that the vehicle
identified in any permit | ||||||
16 | should be properly registered in Illinois. In the
event any | ||||||
17 | such permit is suspended or revoked, the permit is then null | ||||||
18 | and
void, may not be re-instated, nor is a refund therefor | ||||||
19 | available. The
vehicle identified in such permit may not | ||||||
20 | thereafter be operated in
Illinois without being properly | ||||||
21 | registered as provided in this Chapter.
| ||||||
22 | (Source: P.A. 92-680, eff. 7-16-02; 93-32, eff. 7-1-03.)
| ||||||
23 | (625 ILCS 5/3-405.1) (from Ch. 95 1/2, par. 3-405.1)
| ||||||
24 | Sec. 3-405.1. Application for vanity and personalized | ||||||
25 | license plates.
|
| |||||||
| |||||||
1 | (a) Vanity license plates mean any license plates, assigned | ||||||
2 | to a passenger
motor vehicle of the first division, to a motor | ||||||
3 | vehicle of the second
division registered at not more than | ||||||
4 | 8,000 pounds, to a trailer weighing 8,000 pounds or less paying | ||||||
5 | the flat weight tax, or to a recreational
vehicle, which | ||||||
6 | display a registration number containing 4 1 to 7 letters and | ||||||
7 | no
numbers or 1, 2, or 3 numbers and no letters as requested by | ||||||
8 | the owner of the
vehicle and license plates issued to retired | ||||||
9 | members of Congress under Section
3-610.1 or to retired members | ||||||
10 | of the General Assembly as provided in Section
3-606.1. A | ||||||
11 | license plate consisting of 3 letters and no numbers or of 1, | ||||||
12 | 2, or 3 numbers, upon its becoming available, is a vanity | ||||||
13 | license plate. Personalized license plates mean any license | ||||||
14 | plates, assigned to a
passenger motor vehicle of the first | ||||||
15 | division, to a motor vehicle of the second
division registered | ||||||
16 | at not more than 8,000 pounds , to a trailer weighing 8,000 | ||||||
17 | pounds or less paying the flat weight tax, or to a recreational
| ||||||
18 | vehicle, which display a registration number containing a | ||||||
19 | combination one of the following
combinations of letters and | ||||||
20 | numbers as prescribed by rule , as requested by the owner of the | ||||||
21 | vehicle . :
| ||||||
22 | Standard Passenger Plates
| ||||||
23 | First Division Vehicles
| ||||||
24 | 1 letter plus 0-99
|
| |||||||
| |||||||
1 | 2 letters plus 0-99
| ||||||
2 | 3 letters plus 0-99
| ||||||
3 | 4 letters plus 0-99
| ||||||
4 | 5 letters plus 0-99
| ||||||
5 | 6 letters plus 0-9
| ||||||
6 | Second Division Vehicles
| ||||||
7 | 8,000 pounds or less, Trailers
| ||||||
8 | 8,000
pounds or less paying the flat | ||||||
9 | weight tax, and Recreation Vehicles
| ||||||
10 | 0-999 plus 1 letter
| ||||||
11 | 0-999 plus 2 letters
| ||||||
12 | 0-999 plus 3 letters
| ||||||
13 | 0-99 plus 4 letters
| ||||||
14 | 0-9 plus 5 letters
| ||||||
15 | (b) For any registration period commencing after the | ||||||
16 | effective date of this amendatory Act of the 96th General | ||||||
17 | Assembly December 31, 2003 , any
person who is the registered | ||||||
18 | owner of a passenger motor vehicle of the first
division, of a | ||||||
19 | motor vehicle of the second division registered at not
more | ||||||
20 | than 8,000 pounds, of a trailer weighing 8,000 pounds or less | ||||||
21 | paying the flat weight tax, or of a recreational vehicle | ||||||
22 | registered with the
Secretary of State or who makes application | ||||||
23 | for an original registration of
such a motor vehicle or renewal |
| |||||||
| |||||||
1 | registration of such a motor vehicle may,
upon payment of a fee | ||||||
2 | prescribed in Section 3-806.1 or Section 3-806.5 ,
apply to the | ||||||
3 | Secretary of State for vanity or personalized license plates.
| ||||||
4 | (c) Except as otherwise provided in this Chapter 3, vanity | ||||||
5 | and personalized
license plates as issued under this Section | ||||||
6 | shall be the same color and design
as other passenger vehicle | ||||||
7 | license plates and shall not in any manner conflict
with any | ||||||
8 | other existing passenger, commercial, trailer, motorcycle, or | ||||||
9 | special
license plate series. However, special registration | ||||||
10 | plates issued under
Sections 3-611 and 3-616 for vehicles | ||||||
11 | operated by or for persons with
disabilities may also be vanity | ||||||
12 | or personalized license plates.
| ||||||
13 | (d) Vanity and personalized license plates shall be issued | ||||||
14 | only to the
registered owner of the vehicle on which they are | ||||||
15 | to be displayed, except
as provided in Sections 3-611 and 3-616 | ||||||
16 | for special registration plates
for vehicles operated by or for | ||||||
17 | persons with
disabilities.
| ||||||
18 | (e) An applicant for the issuance of vanity or personalized | ||||||
19 | license
plates or subsequent renewal thereof shall file an | ||||||
20 | application in such form
and manner and by such date as the | ||||||
21 | Secretary of State may, in his discretion,
require.
| ||||||
22 | No vanity nor personalized license plates shall be | ||||||
23 | approved, manufactured, or
distributed that contain any | ||||||
24 | characters, symbols other than the international
accessibility | ||||||
25 | symbol for vehicles operated by or for
persons with | ||||||
26 | disabilities, foreign words, or letters of punctuation.
|
| |||||||
| |||||||
1 | (f) Vanity and personalized license plates as issued | ||||||
2 | pursuant to this
Act may be subject to the Staggered | ||||||
3 | Registration System as prescribed by
the Secretary of State.
| ||||||
4 | (Source: P.A. 95-287, eff. 1-1-08.)
| ||||||
5 | (625 ILCS 5/3-811) (from Ch. 95 1/2, par. 3-811)
| ||||||
6 | Sec. 3-811. Drive-away and other permits - Fees.
| ||||||
7 | (a) Dealers may obtain drive-away permits for use as
| ||||||
8 | provided in
this Code, for a fee of $6 per permit for permits | ||||||
9 | purchased on or before
June 30, 2003 and on and after the | ||||||
10 | effective date of this amendatory Act of the 96th General | ||||||
11 | Assembly and $10 for permits purchased on or after July 1, 2003 | ||||||
12 | until the effective date of this amendatory Act of the 96th | ||||||
13 | General Assembly .
For drive-away permits purchased on or after | ||||||
14 | July 1, 2003 until the effective date of this amendatory Act of | ||||||
15 | the 96th General Assembly , $4 of the fee
collected for the | ||||||
16 | purchase of each permit shall be deposited into the General
| ||||||
17 | Revenue Fund.
| ||||||
18 | (b) Transporters may obtain one-trip permits for vehicles | ||||||
19 | in transit for
use as provided in this Code, for a fee of $6 per | ||||||
20 | permit for permits
purchased on or before June 30, 2003 and on | ||||||
21 | and after the effective date of this amendatory Act of the 96th | ||||||
22 | General Assembly and $10 for permits purchased on or
after July | ||||||
23 | 1, 2003 until the effective date of this amendatory Act of the | ||||||
24 | 96th General Assembly . For one-trip permits purchased on or | ||||||
25 | after July 1, 2003 until the effective date of this amendatory |
| |||||||
| |||||||
1 | Act of the 96th General Assembly ,
$4 of the fee collected from | ||||||
2 | the purchase of each permit shall be
deposited into the General | ||||||
3 | Revenue Fund.
| ||||||
4 | (c) Non-residents may likewise obtain a drive-away
permit | ||||||
5 | from the
Secretary of State to export a motor vehicle purchased | ||||||
6 | in Illinois, for a
fee of $6 per permit for permits purchased | ||||||
7 | on or before June 30, 2003 and on and after the effective date | ||||||
8 | of this amendatory Act of the 96th General Assembly and
$10 for | ||||||
9 | permits purchased on or after July 1, 2003 until the effective | ||||||
10 | date of this amendatory Act of the 96th General Assembly . For | ||||||
11 | drive-away permits
purchased on or after July 1, 2003 until the | ||||||
12 | effective date of this amendatory Act of the 96th General | ||||||
13 | Assembly , $4 of the fee collected for the purchase
of each | ||||||
14 | permit shall be deposited into the General Revenue Fund.
| ||||||
15 | (d) One-trip permits may be obtained for an occasional | ||||||
16 | single trip by a
vehicle as provided in this Code, upon payment | ||||||
17 | of a fee of $19.
| ||||||
18 | (e) One month permits may likewise be obtained for the fees | ||||||
19 | and taxes
prescribed in this Code and as promulgated by the | ||||||
20 | Secretary of State.
| ||||||
21 | (Source: P.A. 92-680, eff. 7-16-02; 93-32, eff. 7-1-03.)
| ||||||
22 | (625 ILCS 5/5-101) (from Ch. 95 1/2, par. 5-101)
| ||||||
23 | Sec. 5-101. New vehicle dealers must be licensed.
| ||||||
24 | (a) No person shall engage in this State in the business of | ||||||
25 | selling
or dealing in, on consignment or otherwise, new |
| |||||||
| |||||||
1 | vehicles of any make, or
act as an intermediary or agent or | ||||||
2 | broker for any licensed dealer or
vehicle purchaser other than | ||||||
3 | as a salesperson, or represent or advertise
that he is so | ||||||
4 | engaged or intends to so engage in such business unless
| ||||||
5 | licensed to do so in writing by the Secretary of State under | ||||||
6 | the
provisions of this Section.
| ||||||
7 | (b) An application for a new vehicle dealer's license shall | ||||||
8 | be filed
with the Secretary of State, duly verified by oath, on | ||||||
9 | such form as the
Secretary of State may by rule or regulation | ||||||
10 | prescribe and shall contain:
| ||||||
11 | 1. The name and type of business organization of the | ||||||
12 | applicant and
his established and additional places of | ||||||
13 | business, if any, in this State.
| ||||||
14 | 2. If the applicant is a corporation, a list of its | ||||||
15 | officers,
directors, and shareholders having a ten percent | ||||||
16 | or greater ownership
interest in the corporation, setting | ||||||
17 | forth the residence address of
each; if the applicant is a | ||||||
18 | sole proprietorship, a partnership, an
unincorporated | ||||||
19 | association, a trust, or any similar form of business
| ||||||
20 | organization, the name and residence address of the | ||||||
21 | proprietor or of
each partner, member, officer, director, | ||||||
22 | trustee, or manager.
| ||||||
23 | 3. The make or makes of new vehicles which the | ||||||
24 | applicant will offer
for sale at retail in this State.
| ||||||
25 | 4. The name of each manufacturer or franchised | ||||||
26 | distributor, if any,
of new vehicles with whom the |
| |||||||
| |||||||
1 | applicant has contracted for the sale of
such new vehicles. | ||||||
2 | As evidence of this fact, the application shall be
| ||||||
3 | accompanied by a signed statement from each such | ||||||
4 | manufacturer or
franchised distributor. If the applicant | ||||||
5 | is in the business of
offering for sale new conversion | ||||||
6 | vehicles, trucks or vans, except for
trucks modified to | ||||||
7 | serve a special purpose which includes but is not
limited | ||||||
8 | to the following vehicles: street sweepers, fertilizer | ||||||
9 | spreaders,
emergency vehicles, implements of husbandry or | ||||||
10 | maintenance type vehicles,
he must furnish evidence of a | ||||||
11 | sales and service agreement from both the
chassis | ||||||
12 | manufacturer and second stage manufacturer.
| ||||||
13 | 5. A statement that the applicant has been approved for | ||||||
14 | registration
under the Retailers' Occupation Tax Act by the | ||||||
15 | Department of Revenue:
Provided that this requirement does | ||||||
16 | not apply to a dealer who is already
licensed hereunder | ||||||
17 | with the Secretary of State, and who is merely applying
for | ||||||
18 | a renewal of his license. As evidence of this fact, the | ||||||
19 | application
shall be accompanied by a certification from | ||||||
20 | the Department of Revenue
showing that that Department has | ||||||
21 | approved the applicant for registration
under the | ||||||
22 | Retailers' Occupation Tax Act.
| ||||||
23 | 6. A statement that the applicant has complied with the | ||||||
24 | appropriate
liability insurance requirement. A Certificate | ||||||
25 | of Insurance in a solvent
company authorized to do business | ||||||
26 | in the State of Illinois shall be included
with each |
| |||||||
| |||||||
1 | application covering each location at which he proposes to | ||||||
2 | act
as a new vehicle dealer. The policy must provide | ||||||
3 | liability coverage in
the minimum amounts of $100,000 for | ||||||
4 | bodily injury to, or death of, any person,
$300,000 for | ||||||
5 | bodily injury to, or death of, two or more persons in any | ||||||
6 | one
accident, and $50,000 for damage to property. Such | ||||||
7 | policy shall expire
not sooner than December 31 of the year | ||||||
8 | for which the license was issued
or renewed. The expiration | ||||||
9 | of the insurance policy shall not terminate
the liability | ||||||
10 | under the policy arising during the period for which the
| ||||||
11 | policy was filed. Trailer and mobile home dealers are | ||||||
12 | exempt from this
requirement.
| ||||||
13 | If the permitted user has a liability insurance policy | ||||||
14 | that provides
automobile
liability insurance coverage of | ||||||
15 | at least $100,000 for bodily injury to or the
death of any
| ||||||
16 | person, $300,000 for bodily injury to or the death of any 2 | ||||||
17 | or more persons in
any one
accident, and $50,000 for damage | ||||||
18 | to property,
then the permitted user's insurer shall be the | ||||||
19 | primary
insurer and the
dealer's insurer shall be the | ||||||
20 | secondary insurer. If the permitted user does not
have a | ||||||
21 | liability
insurance policy that provides automobile | ||||||
22 | liability insurance coverage of at
least
$100,000 for | ||||||
23 | bodily injury to or the death of any person, $300,000 for | ||||||
24 | bodily
injury to or the death of any 2 or more persons in | ||||||
25 | any one accident, and
$50,000 for damage to property, or | ||||||
26 | does not have any insurance at all,
then the dealer's |
| |||||||
| |||||||
1 | insurer shall be the primary insurer and the permitted | ||||||
2 | user's
insurer shall be the secondary
insurer.
| ||||||
3 | When a permitted user is "test driving" a new vehicle | ||||||
4 | dealer's automobile,
the new vehicle dealer's insurance | ||||||
5 | shall be primary and the permitted user's
insurance shall | ||||||
6 | be secondary.
| ||||||
7 | As used in this paragraph 6, a "permitted user" is a | ||||||
8 | person who, with the
permission of the new vehicle dealer | ||||||
9 | or an employee of the new vehicle dealer,
drives a vehicle | ||||||
10 | owned and held for sale or lease by the new vehicle dealer
| ||||||
11 | which the person is considering
to purchase or lease, in | ||||||
12 | order to evaluate the performance, reliability, or
| ||||||
13 | condition of the vehicle.
The term "permitted user" also | ||||||
14 | includes a person who, with the permission of
the new
| ||||||
15 | vehicle dealer, drives a vehicle owned or held for sale or | ||||||
16 | lease by the new
vehicle dealer
for loaner purposes while | ||||||
17 | the user's vehicle is being repaired or evaluated.
| ||||||
18 | As used in this paragraph 6, "test driving" occurs when | ||||||
19 | a permitted user
who,
with the permission of the new | ||||||
20 | vehicle dealer or an employee of the new vehicle
dealer, | ||||||
21 | drives a vehicle owned and held for sale or lease by a new | ||||||
22 | vehicle
dealer that the person is considering to purchase | ||||||
23 | or lease, in order to
evaluate the performance, | ||||||
24 | reliability, or condition of the
vehicle.
| ||||||
25 | As used in this paragraph 6, "loaner purposes" means | ||||||
26 | when a person who,
with the permission of the new vehicle |
| |||||||
| |||||||
1 | dealer, drives a vehicle owned or held
for sale or lease by | ||||||
2 | the new vehicle dealer while the
user's vehicle is being | ||||||
3 | repaired or evaluated.
| ||||||
4 | 7. (A) An application for a new motor vehicle dealer's | ||||||
5 | license shall be
accompanied by the following license fees:
| ||||||
6 | $100
$1,000 for applicant's established place of | ||||||
7 | business, and $50
$100 for each
additional place of | ||||||
8 | business, if any, to which the application
pertains; | ||||||
9 | but if the application is made after June 15 of any | ||||||
10 | year, the license
fee shall be $50
$500 for applicant's | ||||||
11 | established place of business
plus $25
$50 for each | ||||||
12 | additional place of business, if any, to which the
| ||||||
13 | application pertains. License fees shall be returnable | ||||||
14 | only in the event that
the application is denied by the | ||||||
15 | Secretary of State.
All moneys received by the | ||||||
16 | Secretary of State as license fees under paragraph
| ||||||
17 | (7)(A) of subsection (b) of this Section prior to | ||||||
18 | applications for the 2004
licensing year and received | ||||||
19 | on or after the effective date of this amendatory Act | ||||||
20 | of the 96th General Assembly
shall be
deposited into | ||||||
21 | the Motor Vehicle Review Board Fund and shall
be used | ||||||
22 | to administer the Motor Vehicle Review Board under the | ||||||
23 | Motor Vehicle
Franchise Act. Of the money received by | ||||||
24 | the Secretary of State as license
fees under paragraph | ||||||
25 | (7)(A) of subsection (b) of this Section for the 2004
| ||||||
26 | licensing year and until the effective date of this |
| |||||||
| |||||||
1 | amendatory Act of the 96th General Assembly
| ||||||
2 | thereafter , 10% shall
be deposited into the Motor | ||||||
3 | Vehicle Review Board Fund and shall be used to
| ||||||
4 | administer the Motor Vehicle Review Board under the | ||||||
5 | Motor Vehicle Franchise Act
and 90% shall be deposited | ||||||
6 | into the General Revenue Fund.
| ||||||
7 | (B) An application for a new vehicle dealer's | ||||||
8 | license, other than for
a new motor vehicle dealer's | ||||||
9 | license, shall be accompanied by the following
license | ||||||
10 | fees:
| ||||||
11 | $50
$1,000 for applicant's established place of | ||||||
12 | business, and
$50 for each
additional place of | ||||||
13 | business, if any, to which the application pertains; | ||||||
14 | but if
the application is made after June 15 of any | ||||||
15 | year, the license fee shall be $25
$500
for applicant's | ||||||
16 | established place of business plus $12.50
$25 for each
| ||||||
17 | additional
place of business, if any, to which the | ||||||
18 | application pertains. License fees
shall be returnable | ||||||
19 | only in the event that the application is denied by the
| ||||||
20 | Secretary of State. Of the money received by the | ||||||
21 | Secretary of State as
license fees under this | ||||||
22 | subsection for the 2004 licensing year and until the | ||||||
23 | effective date of this amendatory Act of the 96th | ||||||
24 | General Assembly
thereafter ,
95% shall be deposited | ||||||
25 | into the General Revenue Fund.
| ||||||
26 | 8. A statement that the applicant's officers, |
| |||||||
| |||||||
1 | directors,
shareholders having a 10% or greater ownership | ||||||
2 | interest
therein, proprietor, a partner, member, officer, | ||||||
3 | director, trustee, manager
or other principals in the | ||||||
4 | business have not committed in the past 3
years any one | ||||||
5 | violation as determined in any civil, criminal or
| ||||||
6 | administrative proceedings of any one of the following | ||||||
7 | Acts:
| ||||||
8 | (A) The Anti Theft Laws of the Illinois Vehicle | ||||||
9 | Code;
| ||||||
10 | (B) The Certificate of Title Laws of the Illinois | ||||||
11 | Vehicle Code;
| ||||||
12 | (C) The Offenses against Registration and | ||||||
13 | Certificates of Title
Laws of the Illinois Vehicle | ||||||
14 | Code;
| ||||||
15 | (D) The Dealers, Transporters, Wreckers and | ||||||
16 | Rebuilders
Laws of the Illinois Vehicle Code;
| ||||||
17 | (E) Section 21-2 of the Criminal Code of 1961, | ||||||
18 | Criminal Trespass to
Vehicles; or
| ||||||
19 | (F) The Retailers' Occupation Tax Act.
| ||||||
20 | 9. A statement that the applicant's officers, | ||||||
21 | directors,
shareholders having a 10% or greater ownership | ||||||
22 | interest
therein, proprietor, partner, member, officer, | ||||||
23 | director, trustee, manager
or other principals in the | ||||||
24 | business have not committed in any calendar year
3 or more | ||||||
25 | violations, as determined in any civil, criminal or
| ||||||
26 | administrative proceedings, of any one or more of the |
| |||||||
| |||||||
1 | following Acts:
| ||||||
2 | (A) The Consumer Finance Act;
| ||||||
3 | (B) The Consumer Installment Loan Act;
| ||||||
4 | (C) The Retail Installment Sales Act;
| ||||||
5 | (D) The Motor Vehicle Retail Installment Sales | ||||||
6 | Act;
| ||||||
7 | (E) The Interest Act;
| ||||||
8 | (F) The Illinois Wage Assignment Act;
| ||||||
9 | (G) Part 8 of Article XII of the Code of Civil | ||||||
10 | Procedure; or
| ||||||
11 | (H) The Consumer Fraud Act.
| ||||||
12 | 10. A bond or certificate of deposit in the amount of | ||||||
13 | $20,000 for
each location at which the applicant intends to | ||||||
14 | act as a new vehicle
dealer. The bond shall be for the term | ||||||
15 | of the license, or its renewal, for
which application is | ||||||
16 | made, and shall expire not sooner than
December 31 of the | ||||||
17 | year for which the license was issued or renewed. The bond
| ||||||
18 | shall run to the People of the State of Illinois, with | ||||||
19 | surety by a bonding or
insurance company authorized to do | ||||||
20 | business in this State. It shall be
conditioned upon the | ||||||
21 | proper transmittal of all title and registration fees and
| ||||||
22 | taxes (excluding taxes under the Retailers' Occupation Tax | ||||||
23 | Act) accepted by the
applicant as a new vehicle dealer.
| ||||||
24 | 11. Such other information concerning the business of | ||||||
25 | the applicant as
the Secretary of State may by rule or | ||||||
26 | regulation prescribe.
|
| |||||||
| |||||||
1 | 12. A statement that the applicant understands Chapter | ||||||
2 | One through
Chapter Five of this Code.
| ||||||
3 | (c) Any change which renders no longer accurate any | ||||||
4 | information
contained in any application for a new vehicle | ||||||
5 | dealer's license shall be
amended within 30 days after the | ||||||
6 | occurrence of such change on such form
as the Secretary of | ||||||
7 | State may prescribe by rule or regulation,
accompanied by an | ||||||
8 | amendatory fee of $2.
| ||||||
9 | (d) Anything in this Chapter 5 to the contrary | ||||||
10 | notwithstanding no
person shall be licensed as a new vehicle | ||||||
11 | dealer unless:
| ||||||
12 | 1. He is authorized by contract in writing between | ||||||
13 | himself and the
manufacturer or franchised distributor of | ||||||
14 | such make of vehicle to so
sell the same in this State, and
| ||||||
15 | 2. Such person shall maintain an established place of | ||||||
16 | business as
defined in this Act.
| ||||||
17 | (e) The Secretary of State shall, within a reasonable time | ||||||
18 | after
receipt, examine an application submitted to him under | ||||||
19 | this Section and
unless he makes a determination that the | ||||||
20 | application submitted to him
does not conform with the | ||||||
21 | requirements of this Section or that grounds
exist for a denial | ||||||
22 | of the application, under Section 5-501 of this
Chapter, grant | ||||||
23 | the applicant an original new vehicle dealer's license in
| ||||||
24 | writing for his established place of business and a | ||||||
25 | supplemental license
in writing for each additional place of | ||||||
26 | business in such form as he may
prescribe by rule or regulation |
| |||||||
| |||||||
1 | which shall include the following:
| ||||||
2 | 1. The name of the person licensed;
| ||||||
3 | 2. If a corporation, the name and address of its | ||||||
4 | officers or if a
sole proprietorship, a partnership, an | ||||||
5 | unincorporated association or any
similar form of business | ||||||
6 | organization, the name and address of the
proprietor or of | ||||||
7 | each partner, member, officer, director, trustee or
| ||||||
8 | manager;
| ||||||
9 | 3. In the case of an original license, the established | ||||||
10 | place of
business of the licensee;
| ||||||
11 | 4. In the case of a supplemental license, the | ||||||
12 | established place of
business of the licensee and the | ||||||
13 | additional place of business to which such
supplemental | ||||||
14 | license pertains;
| ||||||
15 | 5. The make or makes of new vehicles which the licensee | ||||||
16 | is licensed
to sell.
| ||||||
17 | (f) The appropriate instrument evidencing the license or a | ||||||
18 | certified
copy thereof, provided by the Secretary of State, | ||||||
19 | shall be kept posted
conspicuously in the established place of | ||||||
20 | business of the licensee and
in each additional place of | ||||||
21 | business, if any, maintained by such
licensee.
| ||||||
22 | (g) Except as provided in subsection (h) hereof, all new | ||||||
23 | vehicle
dealer's licenses granted under this Section shall | ||||||
24 | expire by operation
of law on December 31 of the calendar year | ||||||
25 | for which they are granted
unless sooner revoked or cancelled | ||||||
26 | under the provisions of Section 5-501
of this Chapter.
|
| |||||||
| |||||||
1 | (h) A new vehicle dealer's license may be renewed upon | ||||||
2 | application
and payment of the fee required herein, and | ||||||
3 | submission of proof of
coverage under an approved bond under | ||||||
4 | the "Retailers' Occupation Tax
Act" or proof that applicant is | ||||||
5 | not subject to such bonding
requirements, as in the case of an | ||||||
6 | original license, but in case an
application for the renewal of | ||||||
7 | an effective license is made during the
month of December, the | ||||||
8 | effective license shall remain in force until the
application | ||||||
9 | is granted or denied by the Secretary of State.
| ||||||
10 | (i) All persons licensed as a new vehicle dealer are | ||||||
11 | required to
furnish each purchaser of a motor vehicle:
| ||||||
12 | 1. In the case of a new vehicle a manufacturer's | ||||||
13 | statement of origin
and in the case of a used motor vehicle | ||||||
14 | a certificate of title, in
either case properly assigned to | ||||||
15 | the purchaser;
| ||||||
16 | 2. A statement verified under oath that all identifying | ||||||
17 | numbers on
the vehicle agree with those on the certificate | ||||||
18 | of title or
manufacturer's statement of origin;
| ||||||
19 | 3. A bill of sale properly executed on behalf of such | ||||||
20 | person;
| ||||||
21 | 4. A copy of the Uniform Invoice-transaction reporting | ||||||
22 | return
referred to in Section 5-402 hereof;
| ||||||
23 | 5. In the case of a rebuilt vehicle, a copy of the | ||||||
24 | Disclosure of Rebuilt
Vehicle Status; and
| ||||||
25 | 6. In the case of a vehicle for which the warranty has | ||||||
26 | been reinstated, a
copy of the warranty.
|
| |||||||
| |||||||
1 | (j) Except at the time of sale or repossession of the | ||||||
2 | vehicle, no person
licensed as a new vehicle dealer may issue | ||||||
3 | any other person a newly created
key to a vehicle unless the | ||||||
4 | new vehicle dealer makes a copy of the driver's
license or | ||||||
5 | State identification card of the person requesting or obtaining | ||||||
6 | the
newly created key. The new vehicle dealer must retain the | ||||||
7 | copy for 30 days.
| ||||||
8 | A new vehicle dealer who violates this subsection (j) is | ||||||
9 | guilty of a
petty offense. Violation of this subsection (j) is | ||||||
10 | not cause to suspend,
revoke,
cancel, or deny renewal of the | ||||||
11 | new vehicle dealer's license.
| ||||||
12 | This amendatory Act of 1983 shall be applicable to the 1984 | ||||||
13 | registration
year and thereafter.
| ||||||
14 | (Source: P.A. 92-391, eff. 8-16-01; 92-835, eff. 6-1-03; 93-32, | ||||||
15 | eff. 7-1-03.)
| ||||||
16 | (625 ILCS 5/5-102) (from Ch. 95 1/2, par. 5-102)
| ||||||
17 | Sec. 5-102. Used vehicle dealers must be licensed.
| ||||||
18 | (a) No person, other than a licensed new vehicle dealer, | ||||||
19 | shall engage in
the business of selling or dealing in, on | ||||||
20 | consignment or otherwise, 5 or
more used vehicles of any make | ||||||
21 | during the year (except house trailers as
authorized by | ||||||
22 | paragraph (j) of this Section and rebuilt salvage vehicles
sold | ||||||
23 | by their rebuilders to persons licensed under this Chapter), or | ||||||
24 | act as
an intermediary, agent or broker for any licensed dealer | ||||||
25 | or vehicle
purchaser (other than as a salesperson) or represent |
| |||||||
| |||||||
1 | or advertise that he
is so engaged or intends to so engage in | ||||||
2 | such business unless licensed to
do so by the Secretary of | ||||||
3 | State under the provisions of this Section.
| ||||||
4 | (b) An application for a used vehicle dealer's license | ||||||
5 | shall be
filed with the Secretary of State, duly verified by | ||||||
6 | oath, in such form
as the Secretary of State may by rule or | ||||||
7 | regulation prescribe and shall
contain:
| ||||||
8 | 1. The name and type of business organization | ||||||
9 | established and additional
places of business, if any, in | ||||||
10 | this State.
| ||||||
11 | 2. If the applicant is a corporation, a list of its | ||||||
12 | officers,
directors, and shareholders having a ten percent | ||||||
13 | or greater ownership
interest in the corporation, setting | ||||||
14 | forth the residence address of
each; if the applicant is a | ||||||
15 | sole proprietorship, a partnership, an
unincorporated | ||||||
16 | association, a trust, or any similar form of business
| ||||||
17 | organization, the names and residence address of the | ||||||
18 | proprietor or of
each partner, member, officer, director, | ||||||
19 | trustee or manager.
| ||||||
20 | 3. A statement that the applicant has been approved for | ||||||
21 | registration
under the Retailers' Occupation Tax Act by the | ||||||
22 | Department of Revenue. However,
this requirement does not | ||||||
23 | apply to a dealer who is already licensed
hereunder with | ||||||
24 | the Secretary of State, and who is merely applying for a
| ||||||
25 | renewal of his license. As evidence of this fact, the | ||||||
26 | application shall be
accompanied by a certification from |
| |||||||
| |||||||
1 | the Department of Revenue showing that
the Department has | ||||||
2 | approved the applicant for registration under the
| ||||||
3 | Retailers' Occupation Tax Act.
| ||||||
4 | 4. A statement that the applicant has complied with the | ||||||
5 | appropriate
liability insurance requirement. A Certificate | ||||||
6 | of Insurance in a solvent
company authorized to do business | ||||||
7 | in the State of Illinois shall be included
with each | ||||||
8 | application covering each location at which he proposes to | ||||||
9 | act
as a used vehicle dealer. The policy must provide | ||||||
10 | liability coverage in
the minimum amounts of $100,000 for | ||||||
11 | bodily injury to, or death of, any person,
$300,000 for | ||||||
12 | bodily injury to, or death of, two or more persons in any | ||||||
13 | one
accident, and $50,000 for damage to property. Such | ||||||
14 | policy shall expire
not sooner than December 31 of the year | ||||||
15 | for which the license was issued
or renewed. The expiration | ||||||
16 | of the insurance policy shall not terminate
the liability | ||||||
17 | under the policy arising during the period for which the | ||||||
18 | policy
was filed. Trailer and mobile home dealers are | ||||||
19 | exempt from this requirement.
| ||||||
20 | If the permitted user has a liability insurance policy | ||||||
21 | that provides
automobile
liability insurance coverage of | ||||||
22 | at least $100,000 for bodily injury to or the
death of any
| ||||||
23 | person, $300,000 for bodily injury to or the death of any 2 | ||||||
24 | or more persons in
any one
accident, and $50,000 for damage | ||||||
25 | to property,
then the permitted user's insurer shall be the | ||||||
26 | primary
insurer and the
dealer's insurer shall be the |
| |||||||
| |||||||
1 | secondary insurer. If the permitted user does not
have a | ||||||
2 | liability
insurance policy that provides automobile | ||||||
3 | liability insurance coverage of at
least
$100,000 for | ||||||
4 | bodily injury to or the death of any person, $300,000 for | ||||||
5 | bodily
injury to or
the death of any 2 or more persons in | ||||||
6 | any one accident, and $50,000 for damage
to
property, or | ||||||
7 | does not have any insurance at all,
then the
dealer's
| ||||||
8 | insurer shall be the primary insurer and the permitted | ||||||
9 | user's insurer shall be
the secondary
insurer.
| ||||||
10 | When a permitted user is "test driving" a used vehicle | ||||||
11 | dealer's automobile,
the used vehicle dealer's insurance | ||||||
12 | shall be primary and the permitted user's
insurance shall | ||||||
13 | be secondary.
| ||||||
14 | As used in this paragraph 4, a "permitted user" is a | ||||||
15 | person who, with the
permission of the used vehicle dealer | ||||||
16 | or an employee of the used vehicle
dealer, drives a vehicle | ||||||
17 | owned and held for sale or lease by the used vehicle
dealer | ||||||
18 | which the person is considering to purchase or lease, in | ||||||
19 | order to
evaluate the performance, reliability, or | ||||||
20 | condition of the vehicle.
The term "permitted user" also | ||||||
21 | includes a person who, with the permission of
the used
| ||||||
22 | vehicle dealer, drives a vehicle owned or held for sale or | ||||||
23 | lease by the used
vehicle dealer
for loaner purposes while | ||||||
24 | the user's vehicle is being repaired or evaluated.
| ||||||
25 | As used in this paragraph 4, "test driving" occurs when | ||||||
26 | a permitted user
who,
with the permission of the used |
| |||||||
| |||||||
1 | vehicle dealer or an employee of the used
vehicle
dealer, | ||||||
2 | drives a vehicle owned and held for sale or lease by a used | ||||||
3 | vehicle
dealer that the person is considering to purchase | ||||||
4 | or lease, in order to
evaluate the performance, | ||||||
5 | reliability, or condition of the
vehicle.
| ||||||
6 | As used in this paragraph 4, "loaner purposes" means | ||||||
7 | when a person who,
with the permission of the used vehicle | ||||||
8 | dealer, drives a vehicle owned or held
for sale or lease by | ||||||
9 | the used vehicle dealer while the
user's vehicle is being | ||||||
10 | repaired or evaluated.
| ||||||
11 | 5. An application for a used vehicle dealer's license | ||||||
12 | shall be
accompanied by the following license fees:
| ||||||
13 | $50 $1,000 for applicant's established place of | ||||||
14 | business, and
$25 $50 for
each additional place of | ||||||
15 | business, if any, to which the application
pertains; | ||||||
16 | however, if the application is made after June 15 of any
| ||||||
17 | year, the license fee shall be $25 $500 for applicant's | ||||||
18 | established
place of
business plus $12.50 $25 for each | ||||||
19 | additional place of business, if any,
to
which the | ||||||
20 | application pertains. License fees shall be returnable | ||||||
21 | only in
the event that the application is denied by
the | ||||||
22 | Secretary of State. Of the money received by the Secretary | ||||||
23 | of State as
license fees under this Section for the 2004 | ||||||
24 | licensing year and until the effective date of this | ||||||
25 | amendatory Act of the 96th General Assembly thereafter , 95%
| ||||||
26 | shall be deposited into the General Revenue Fund.
|
| |||||||
| |||||||
1 | 6. A statement that the applicant's officers, | ||||||
2 | directors, shareholders
having a 10% or greater ownership | ||||||
3 | interest therein, proprietor, partner,
member, officer, | ||||||
4 | director, trustee, manager or other principals in the
| ||||||
5 | business have not committed in the past 3 years any one | ||||||
6 | violation as
determined in any civil, criminal or | ||||||
7 | administrative proceedings of any one
of the following | ||||||
8 | Acts:
| ||||||
9 | (A) The Anti Theft Laws of the Illinois Vehicle | ||||||
10 | Code;
| ||||||
11 | (B) The Certificate of Title Laws of the Illinois | ||||||
12 | Vehicle Code;
| ||||||
13 | (C) The Offenses against Registration and | ||||||
14 | Certificates of Title
Laws of the Illinois Vehicle | ||||||
15 | Code;
| ||||||
16 | (D) The Dealers, Transporters, Wreckers and | ||||||
17 | Rebuilders Laws of the
Illinois Vehicle Code;
| ||||||
18 | (E) Section 21-2 of the Illinois Criminal Code of | ||||||
19 | 1961, Criminal
Trespass to Vehicles; or
| ||||||
20 | (F) The Retailers' Occupation Tax Act.
| ||||||
21 | 7. A statement that the applicant's officers, | ||||||
22 | directors,
shareholders having a 10% or greater ownership | ||||||
23 | interest therein,
proprietor, partner, member, officer, | ||||||
24 | director, trustee, manager or
other principals in the | ||||||
25 | business have not committed in any calendar year
3 or more | ||||||
26 | violations, as determined in any civil or criminal or
|
| |||||||
| |||||||
1 | administrative proceedings, of any one or more of the | ||||||
2 | following Acts:
| ||||||
3 | (A) The Consumer Finance Act;
| ||||||
4 | (B) The Consumer Installment Loan Act;
| ||||||
5 | (C) The Retail Installment Sales Act;
| ||||||
6 | (D) The Motor Vehicle Retail Installment Sales | ||||||
7 | Act;
| ||||||
8 | (E) The Interest Act;
| ||||||
9 | (F) The Illinois Wage Assignment Act;
| ||||||
10 | (G) Part 8 of Article XII of the Code of Civil | ||||||
11 | Procedure; or
| ||||||
12 | (H) The Consumer Fraud Act.
| ||||||
13 | 8. A bond or Certificate of Deposit in the amount of | ||||||
14 | $20,000 for
each location at which the applicant intends to | ||||||
15 | act as a used vehicle
dealer. The bond shall be for the | ||||||
16 | term of the license, or its renewal, for
which application | ||||||
17 | is made, and shall expire not sooner than December 31 of
| ||||||
18 | the year for which the license was issued or renewed. The | ||||||
19 | bond shall run
to the People of the State of Illinois, with | ||||||
20 | surety by a bonding or
insurance company authorized to do | ||||||
21 | business in this State. It shall be
conditioned upon the | ||||||
22 | proper transmittal of all title and registration fees
and | ||||||
23 | taxes (excluding taxes under the Retailers' Occupation Tax | ||||||
24 | Act) accepted
by the applicant as a used vehicle dealer.
| ||||||
25 | 9. Such other information concerning the business of | ||||||
26 | the applicant as
the Secretary of State may by rule or |
| |||||||
| |||||||
1 | regulation prescribe.
| ||||||
2 | 10. A statement that the applicant understands Chapter | ||||||
3 | 1 through
Chapter 5 of this Code.
| ||||||
4 | (c) Any change which renders no longer accurate any | ||||||
5 | information
contained in any application for a used vehicle | ||||||
6 | dealer's license shall
be amended within 30 days after the | ||||||
7 | occurrence of each change on such
form as the Secretary of | ||||||
8 | State may prescribe by rule or regulation,
accompanied by an | ||||||
9 | amendatory fee of $2.
| ||||||
10 | (d) Anything in this Chapter to the contrary | ||||||
11 | notwithstanding, no
person shall be licensed as a used vehicle | ||||||
12 | dealer unless such person
maintains an established place of | ||||||
13 | business as
defined in this Chapter.
| ||||||
14 | (e) The Secretary of State shall, within a reasonable time | ||||||
15 | after
receipt, examine an application submitted to him under | ||||||
16 | this Section.
Unless the Secretary makes a determination that | ||||||
17 | the application
submitted to him does not conform to this | ||||||
18 | Section or that grounds exist
for a denial of the application | ||||||
19 | under Section 5-501 of this Chapter, he
must grant the | ||||||
20 | applicant an original used vehicle dealer's license in
writing | ||||||
21 | for his established place of business and a supplemental | ||||||
22 | license
in writing for each additional place of business in | ||||||
23 | such form as he may
prescribe by rule or regulation which shall | ||||||
24 | include the following:
| ||||||
25 | 1. The name of the person licensed;
| ||||||
26 | 2. If a corporation, the name and address of its |
| |||||||
| |||||||
1 | officers or if a
sole proprietorship, a partnership, an | ||||||
2 | unincorporated association or any
similar form of business | ||||||
3 | organization, the name and address of the
proprietor or of | ||||||
4 | each partner, member, officer, director, trustee or
| ||||||
5 | manager;
| ||||||
6 | 3. In case of an original license, the established | ||||||
7 | place of business
of the licensee;
| ||||||
8 | 4. In the case of a supplemental license, the | ||||||
9 | established place of
business of the licensee and the | ||||||
10 | additional place of business to which such
supplemental | ||||||
11 | license pertains.
| ||||||
12 | (f) The appropriate instrument evidencing the license or a | ||||||
13 | certified
copy thereof, provided by the Secretary of State | ||||||
14 | shall be kept posted,
conspicuously, in the established place | ||||||
15 | of business of the licensee and
in each additional place of | ||||||
16 | business, if any, maintained by such
licensee.
| ||||||
17 | (g) Except as provided in subsection (h) of this Section, | ||||||
18 | all used
vehicle dealer's licenses granted under this Section | ||||||
19 | expire by operation
of law on December 31 of the calendar year | ||||||
20 | for which they are granted
unless sooner revoked or cancelled | ||||||
21 | under Section 5-501 of this Chapter.
| ||||||
22 | (h) A used vehicle dealer's license may be renewed upon | ||||||
23 | application
and payment of the fee required herein, and | ||||||
24 | submission of proof of
coverage by an approved bond under the | ||||||
25 | "Retailers' Occupation Tax Act"
or proof that applicant is not | ||||||
26 | subject to such bonding requirements, as
in the case of an |
| |||||||
| |||||||
1 | original license, but in case an application for the
renewal of | ||||||
2 | an effective license is made during the month of December,
the | ||||||
3 | effective license shall remain in force until the application | ||||||
4 | for
renewal is granted or denied by the Secretary of State.
| ||||||
5 | (i) All persons licensed as a used vehicle dealer are | ||||||
6 | required to
furnish each purchaser of a motor vehicle:
| ||||||
7 | 1. A certificate of title properly assigned to the | ||||||
8 | purchaser;
| ||||||
9 | 2. A statement verified under oath that all identifying | ||||||
10 | numbers on
the vehicle agree with those on the certificate | ||||||
11 | of title;
| ||||||
12 | 3. A bill of sale properly executed on behalf of such | ||||||
13 | person;
| ||||||
14 | 4. A copy of the Uniform Invoice-transaction reporting | ||||||
15 | return
referred to in Section 5-402 of this Chapter;
| ||||||
16 | 5. In the case of a rebuilt vehicle, a copy of the | ||||||
17 | Disclosure of Rebuilt
Vehicle Status; and
| ||||||
18 | 6. In the case of a vehicle for which the warranty has | ||||||
19 | been reinstated, a
copy of the warranty.
| ||||||
20 | (j) A real estate broker holding a valid certificate of | ||||||
21 | registration issued
pursuant to "The Real Estate Brokers and | ||||||
22 | Salesmen License Act" may engage
in the business of selling or | ||||||
23 | dealing in house trailers not his own without
being licensed as | ||||||
24 | a used vehicle dealer under this Section; however such
broker | ||||||
25 | shall maintain a record of the transaction including the | ||||||
26 | following:
|
| |||||||
| |||||||
1 | (1) the name and address of the buyer and seller,
| ||||||
2 | (2) the date of sale,
| ||||||
3 | (3) a description of the mobile home, including the | ||||||
4 | vehicle identification
number, make, model, and year, and
| ||||||
5 | (4) the Illinois certificate of title number.
| ||||||
6 | The foregoing records shall be available for inspection by | ||||||
7 | any officer
of the Secretary of State's Office at any | ||||||
8 | reasonable hour.
| ||||||
9 | (k) Except at the time of sale or repossession of the | ||||||
10 | vehicle, no
person licensed as a used vehicle dealer may issue | ||||||
11 | any other person a newly
created key to a vehicle unless the | ||||||
12 | used vehicle dealer makes a copy of the
driver's license or | ||||||
13 | State identification card of the person requesting or
obtaining | ||||||
14 | the newly created key. The used vehicle dealer must retain the
| ||||||
15 | copy for 30 days.
| ||||||
16 | A used vehicle dealer who violates this subsection (k) is | ||||||
17 | guilty of a
petty offense. Violation of this subsection (k) is | ||||||
18 | not cause to suspend,
revoke, cancel, or deny renewal of the | ||||||
19 | used vehicle dealer's license. | ||||||
20 | (l) Used vehicle dealers licensed under this Section shall | ||||||
21 | provide the Secretary of State a register for the sale at | ||||||
22 | auction of each salvage or junk certificate vehicle. Each | ||||||
23 | register shall include the following information: | ||||||
24 | 1. The year, make, model, style and color of the | ||||||
25 | vehicle; | ||||||
26 | 2. The vehicle's manufacturer's identification number |
| |||||||
| |||||||
1 | or, if applicable, the Secretary of State or Illinois | ||||||
2 | Department of State Police identification number; | ||||||
3 | 3. The date of acquisition of the vehicle; | ||||||
4 | 4. The name and address of the person from whom the | ||||||
5 | vehicle was acquired; | ||||||
6 | 5. The name and address of the person to whom any | ||||||
7 | vehicle was disposed, the person's Illinois license number | ||||||
8 | or if the person is an out-of-state salvage vehicle buyer, | ||||||
9 | the license number from the state or jurisdiction where the | ||||||
10 | buyer is licensed; and | ||||||
11 | 6. The purchase price of the vehicle. | ||||||
12 | The register shall be submitted to the Secretary of State | ||||||
13 | via written or electronic means within 10 calendar days from | ||||||
14 | the date of the auction.
| ||||||
15 | (Source: P.A. 95-783, eff. 1-1-09.)
| ||||||
16 | (625 ILCS 5/6-118) (from Ch. 95 1/2, par. 6-118)
| ||||||
17 | Sec. 6-118. Fees.
| ||||||
18 | (a) The fee for licenses and permits under this
Article is | ||||||
19 | as follows:
| ||||||
20 | Original driver's license ............................$10
| ||||||
21 | Original or renewal driver's license
| ||||||
22 | issued to 18, 19 and 20 year olds ..................5
| ||||||
23 | All driver's licenses for persons
| ||||||
24 | age 69 through age 80 ..............................5
| ||||||
25 | All driver's licenses for persons
|
| |||||||
| |||||||
1 | age 81 through age 86 ..............................2
| ||||||
2 | All driver's licenses for persons
| ||||||
3 | age 87 or older ....................................0
| ||||||
4 | Renewal driver's license (except for
| ||||||
5 | applicants ages 18, 19 and 20 or
| ||||||
6 | age 69 and older) .................................10
| ||||||
7 | Original instruction permit issued to
| ||||||
8 | persons (except those age 69 and older)
| ||||||
9 | who do not hold or have not previously
| ||||||
10 | held an Illinois instruction permit or
| ||||||
11 | driver's license ..................................20
| ||||||
12 | Instruction permit issued to any person
| ||||||
13 | holding an Illinois driver's license
| ||||||
14 | who wishes a change in classifications,
| ||||||
15 | other than at the time of renewal ..................5
| ||||||
16 | Any instruction permit issued to a person
| ||||||
17 | age 69 and older ...................................5
| ||||||
18 | Instruction permit issued to any person,
| ||||||
19 | under age 69, not currently holding a
| ||||||
20 | valid Illinois driver's license or
| ||||||
21 | instruction permit but who has
| ||||||
22 | previously been issued either document
| ||||||
23 | in Illinois .......................................10
| ||||||
24 | Restricted driving permit ..............................8
| ||||||
25 | Monitoring device driving permit .......................8 | ||||||
26 | Duplicate or corrected driver's license
|
| |||||||
| |||||||
1 | or permit ..........................................5
| ||||||
2 | Duplicate or corrected restricted
| ||||||
3 | driving permit .....................................5
| ||||||
4 | Duplicate or corrected monitoring | ||||||
5 | device driving permit ...................................5 | ||||||
6 | Original or renewal M or L endorsement .................5
| ||||||
7 | SPECIAL FEES FOR COMMERCIAL DRIVER'S LICENSE
| ||||||
8 | The fees for commercial driver licenses and permits | ||||||
9 | under Article V
shall be as follows:
| ||||||
10 | Commercial driver's license:
| ||||||
11 | $6 for the CDLIS/AAMVAnet Fund
| ||||||
12 | (Commercial Driver's License Information
| ||||||
13 | System/American Association of Motor Vehicle
| ||||||
14 | Administrators network Trust Fund);
| ||||||
15 | $20 for the Motor Carrier Safety Inspection Fund;
| ||||||
16 | $10 for the driver's license;
| ||||||
17 | and $24 for the CDL: .............................$60
| ||||||
18 | Renewal commercial driver's license:
| ||||||
19 | $6 for the CDLIS/AAMVAnet Trust Fund;
| ||||||
20 | $20 for the Motor Carrier Safety Inspection Fund;
| ||||||
21 | $10 for the driver's license; and
| ||||||
22 | $24 for the CDL: .................................$60
| ||||||
23 | Commercial driver instruction permit
| ||||||
24 | issued to any person holding a valid
| ||||||
25 | Illinois driver's license for the
| ||||||
26 | purpose of changing to a
|
| |||||||
| |||||||
1 | CDL classification: $6 for the
| ||||||
2 | CDLIS/AAMVAnet Trust Fund;
| ||||||
3 | $20 for the Motor Carrier
| ||||||
4 | Safety Inspection Fund; and
| ||||||
5 | $24 for the CDL classification ...................$50
| ||||||
6 | Commercial driver instruction permit
| ||||||
7 | issued to any person holding a valid
| ||||||
8 | Illinois CDL for the purpose of
| ||||||
9 | making a change in a classification,
| ||||||
10 | endorsement or restriction ........................$5
| ||||||
11 | CDL duplicate or corrected license ....................$5
| ||||||
12 | In order to ensure the proper implementation of the Uniform | ||||||
13 | Commercial
Driver License Act, Article V of this Chapter, the | ||||||
14 | Secretary of State is
empowered to pro-rate the $24 fee for the | ||||||
15 | commercial driver's license
proportionate to the expiration | ||||||
16 | date of the applicant's Illinois driver's
license.
| ||||||
17 | The fee for any duplicate license or permit shall be waived | ||||||
18 | for any
person age 60 or older who presents the Secretary of | ||||||
19 | State's office with a
police report showing that his license or | ||||||
20 | permit was stolen.
| ||||||
21 | No additional fee shall be charged for a driver's license, | ||||||
22 | or for a
commercial driver's license, when issued
to the holder | ||||||
23 | of an instruction permit for the same classification or
type of | ||||||
24 | license who becomes eligible for such
license.
| ||||||
25 | (b) Any person whose license or privilege to operate a | ||||||
26 | motor vehicle
in this State has been suspended or revoked under |
| |||||||
| |||||||
1 | Section 3-707, any
provision of
Chapter 6, Chapter 11, or | ||||||
2 | Section 7-205, 7-303, or 7-702 of the Family
Financial
| ||||||
3 | Responsibility Law of this Code, shall in addition to any other
| ||||||
4 | fees required by this Code, pay a reinstatement fee as follows:
| ||||||
5 | Suspension under Section 3-707 .....................
$100
| ||||||
6 | Summary suspension under Section 11-501.1 .......$60 $250
| ||||||
7 | Other suspension .................................$30 $70
| ||||||
8 | Revocation ......................................$60 $500
| ||||||
9 | However, any person whose license or privilege to operate a | ||||||
10 | motor vehicle
in this State has been suspended or revoked for a | ||||||
11 | second or subsequent time
for a violation of Section 11-501 or | ||||||
12 | 11-501.1
of this Code or a similar provision of a local | ||||||
13 | ordinance
or a similar out-of-state offense
or Section 9-3 of | ||||||
14 | the Criminal Code of 1961
and each suspension or revocation was | ||||||
15 | for a violation of Section 11-501 or
11-501.1 of this Code or a | ||||||
16 | similar provision of a local ordinance
or a similar | ||||||
17 | out-of-state offense
or Section
9-3 of the Criminal Code of | ||||||
18 | 1961
shall pay, in addition to any other
fees required by this | ||||||
19 | Code, a
reinstatement
fee as follows:
| ||||||
20 | Summary suspension under Section 11-501.1 ......$250 $500
| ||||||
21 | Revocation .....................................$250 $500
| ||||||
22 | (c) All fees collected under the provisions of this Chapter | ||||||
23 | 6 shall be
paid into the Road Fund in the State Treasury except | ||||||
24 | as follows:
| ||||||
25 | 1. The following amounts shall be paid into the Driver | ||||||
26 | Education Fund:
|
| |||||||
| |||||||
1 | (A) $16 of the $20
fee for an original driver's | ||||||
2 | instruction permit;
| ||||||
3 | (B) $5 of the $10 fee for an original driver's | ||||||
4 | license;
| ||||||
5 | (C) $5 of the $10 fee for a 4 year renewal driver's | ||||||
6 | license;
| ||||||
7 | (D) $4 of the $8 fee for a restricted driving | ||||||
8 | permit; and
| ||||||
9 | (E) $4 of the $8 fee for a monitoring device | ||||||
10 | driving permit.
| ||||||
11 | 2. $30 of the $60 $250 fee for reinstatement of a
| ||||||
12 | license
summarily suspended under Section 11-501.1 shall | ||||||
13 | be deposited into the
Drunk and Drugged Driving Prevention | ||||||
14 | Fund.
However, for a person whose license or privilege to | ||||||
15 | operate a motor vehicle
in this State has been suspended or | ||||||
16 | revoked for a second or subsequent time for
a violation of | ||||||
17 | Section 11-501 or 11-501.1 of this Code or Section 9-3 of | ||||||
18 | the
Criminal Code of 1961,
$190 of the $250 $500 fee for | ||||||
19 | reinstatement of a license summarily
suspended under
| ||||||
20 | Section 11-501.1,
and $190 of the $250 $500 fee for | ||||||
21 | reinstatement of a revoked license
shall be deposited into | ||||||
22 | the Drunk and Drugged Driving Prevention Fund.
| ||||||
23 | 3. $6 of such original or renewal fee for a commercial | ||||||
24 | driver's
license and $6 of the commercial driver | ||||||
25 | instruction permit fee when such
permit is issued to any | ||||||
26 | person holding a valid Illinois driver's license,
shall be |
| |||||||
| |||||||
1 | paid into the CDLIS/AAMVAnet Trust Fund.
| ||||||
2 | 4. The $30 of the $70 fee for reinstatement of a | ||||||
3 | license suspended
under the
Family
Financial | ||||||
4 | Responsibility Law shall be paid into the Family | ||||||
5 | Responsibility
Fund.
| ||||||
6 | 5. The $5 fee for each original or renewal M or L | ||||||
7 | endorsement shall be
deposited into the Cycle Rider Safety | ||||||
8 | Training Fund.
| ||||||
9 | 6. $20 of any original or renewal fee for a commercial | ||||||
10 | driver's
license or commercial driver instruction permit | ||||||
11 | shall be paid into the Motor
Carrier Safety Inspection | ||||||
12 | Fund.
| ||||||
13 | 7. (Blank). The following amounts shall be paid into | ||||||
14 | the General Revenue Fund:
| ||||||
15 | (A) $190 of the $250 reinstatement fee for a | ||||||
16 | summary suspension under
Section 11-501.1;
| ||||||
17 | (B) $40 of the $70 reinstatement fee for any other | ||||||
18 | suspension provided
in subsection (b) of this Section; | ||||||
19 | and
| ||||||
20 | (C) $440 of the $500 reinstatement fee for a first | ||||||
21 | offense revocation
and $310 of the $500 reinstatement | ||||||
22 | fee for a second or subsequent revocation.
| ||||||
23 | (Source: P.A. 94-1035, eff. 7-1-07; 95-855, eff. 1-1-09.)
| ||||||
24 | (625 ILCS 5/7-707)
| ||||||
25 | Sec. 7-707. Payment of reinstatement fee. When a person |
| |||||||
| |||||||
1 | receives
notice from the Secretary of State that the suspension | ||||||
2 | of driving privileges
has been terminated based upon (i) | ||||||
3 | receipt of notification from the circuit
clerk of the person's | ||||||
4 | compliance as obligor with a court order of
support or (ii) | ||||||
5 | receipt of notification from the Illinois Department of | ||||||
6 | Healthcare and Family Services that the person whose driving | ||||||
7 | privileges were terminated has paid the delinquency in full or | ||||||
8 | has arranged for payment of the delinquency and the current | ||||||
9 | support obligation in a manner satisfactory to the Department | ||||||
10 | (in a case in which the person's driving privileges were | ||||||
11 | suspended upon a certification by the Department under | ||||||
12 | subsection (c) of Section 7-702), the obligor shall pay a $30 | ||||||
13 | $70 reinstatement fee to the
Secretary of
State as set forth in | ||||||
14 | Section 6-118 of this Code. The $30 of the $70 fee
shall be | ||||||
15 | deposited
into the Family Responsibility Fund. In accordance | ||||||
16 | with subsection (e) of
Section 6-115 of this Code, the | ||||||
17 | Secretary of State may decline to process a
renewal of a | ||||||
18 | driver's license of a person who has not paid this fee.
| ||||||
19 | (Source: P.A. 95-685, eff. 10-23-07.)
| ||||||
20 | (625 ILCS 5/18c-1501) (from Ch. 95 1/2, par. 18c-1501)
| ||||||
21 | Sec. 18c-1501. Franchise, Franchise Renewal, Filing and | ||||||
22 | Other
Fees for Motor Carriers of Property.
| ||||||
23 | (1) Franchise, Franchise Renewal, Filing, and Other Fee
| ||||||
24 | Levels in Effect Absent Commission Regulations Prescribing | ||||||
25 | Different Fee
Levels.
The levels of franchise, franchise |
| |||||||
| |||||||
1 | renewal, filing, and other
fees for motor carriers of property | ||||||
2 | in effect, absent Commission
regulations prescribing different | ||||||
3 | fee levels, shall be:
| ||||||
4 | (a) Franchise and franchise renewal fees:
$19 for each | ||||||
5 | motor vehicle operated by a motor carrier
of property in | ||||||
6 | intrastate commerce, and $2
for each motor vehicle operated | ||||||
7 | by a motor carrier of
property in interstate commerce.
| ||||||
8 | (b) Filing fees: $100 for each
application seeking a | ||||||
9 | Commission license or other
authority, the reinstatement | ||||||
10 | of a cancelled license or
authority, or authority to | ||||||
11 | establish a rate, other than
by special permission, | ||||||
12 | excluding both released rate applications and rate
filings | ||||||
13 | which may be investigated or suspended but which require no | ||||||
14 | prior
authorization for filing; $25 for each released rate | ||||||
15 | application and each
application
to register as an | ||||||
16 | interstate carrier; $15 for each application seeking
| ||||||
17 | special permission in regard to rates; and $15 for each | ||||||
18 | equipment lease.
| ||||||
19 | (2) Adjustment of Fee
Levels.
The Commission may, by | ||||||
20 | rulemaking in accordance with
provisions of The Illinois | ||||||
21 | Administrative Procedure Act,
adjust franchise, franchise | ||||||
22 | renewal, filing, and other fees
for motor carriers of property | ||||||
23 | by increasing or decreasing
them from levels in effect absent | ||||||
24 | Commission regulations prescribing
different fee levels. | ||||||
25 | Franchise
and franchise renewal fees prescribed by the
| ||||||
26 | Commission for motor carriers of property shall not exceed:
|
| |||||||
| |||||||
1 | (a) $50 for each motor vehicle
operated by a household | ||||||
2 | goods carrier in
intrastate
commerce;
| ||||||
3 | (a-5) $5
$15 for each motor vehicle operated by a | ||||||
4 | public carrier
in intrastate
commerce; and
| ||||||
5 | (b) $7 for each motor vehicle operated by a
motor | ||||||
6 | carrier of property in interstate commerce.
| ||||||
7 | (3) Late-Filing Fees.
| ||||||
8 | (a) Commission to Prescribe Late-Filing Fees.
The | ||||||
9 | Commission may prescribe fees for the late filing of
proof | ||||||
10 | of insurance, operating reports, franchise or
franchise | ||||||
11 | renewal fee applications, or other documents
required to be | ||||||
12 | filed on a periodic basis with the
Commission.
| ||||||
13 | (b) Late-filing Fees to Accrue Automatically.
| ||||||
14 | Late-filing fees shall accrue automatically from the
| ||||||
15 | filing deadline set forth in Commission regulations, and
| ||||||
16 | all persons or entities required to make such filings
shall | ||||||
17 | be on notice of such deadlines.
| ||||||
18 | (c) Maximum Fees.
Late-filing fees prescribed by the | ||||||
19 | Commission shall not
exceed $100 for an initial period,
| ||||||
20 | plus $10 for each day after the expiration
of the initial | ||||||
21 | period. The Commission may provide for
waiver of all or | ||||||
22 | part of late-filing fees accrued under
this subsection on a | ||||||
23 | showing of good cause.
| ||||||
24 | (d) Effect of Failure to Make Timely Filings and Pay
| ||||||
25 | Late-Filing Fees.
Failure of a person to file proof of | ||||||
26 | continuous
insurance coverage or to make other periodic |
| |||||||
| |||||||
1 | filings
required under Commission regulations shall make
| ||||||
2 | licenses and registrations held by the person subject to
| ||||||
3 | revocation or suspension. The licenses or registrations
| ||||||
4 | cannot thereafter be returned to good standing until
after | ||||||
5 | payment of all late-filing fees accrued and not
waived | ||||||
6 | under this subsection.
| ||||||
7 | (4) Payment of Fees.
| ||||||
8 | (a) Franchise and Franchise Renewal Fees.
Franchise | ||||||
9 | and franchise renewal fees for motor carriers
of property | ||||||
10 | shall be due and payable on or before the
31st day of | ||||||
11 | December of the calendar year preceding the
calendar year | ||||||
12 | for which the fees are owing, unless otherwise provided in
| ||||||
13 | Commission regulations.
| ||||||
14 | (b) Filing and Other Fees.
Filing and other fees | ||||||
15 | (including late-filing fees) shall be due
and payable on | ||||||
16 | the date of filing, or on such other date
as is set forth | ||||||
17 | in Commission regulations.
| ||||||
18 | (5) When Fees Returnable.
| ||||||
19 | (a) Whenever an application to the Illinois
Commerce | ||||||
20 | Commission is accompanied by any fee as required by law and | ||||||
21 | such
application is refused or rejected, said fee shall be | ||||||
22 | returned to said
applicant.
| ||||||
23 | (b) The Illinois Commerce Commission may reduce by | ||||||
24 | interlineation the
amount of any personal check or | ||||||
25 | corporate check or company check drawn on
the account of | ||||||
26 | and delivered by any person for payment of a fee required |
| |||||||
| |||||||
1 | by
the Illinois Commerce Commission.
| ||||||
2 | (c) Any check altered pursuant to above shall be | ||||||
3 | endorsed by the
Illinois Commerce Commission as follows: | ||||||
4 | "This check is warranted to
subsequent holders and to the | ||||||
5 | drawee to be in the amount $ ."
| ||||||
6 | (d) All applications to the Illinois Commerce | ||||||
7 | Commission requiring fee
payment upon reprinting shall | ||||||
8 | contain the following authorization
statement: "My | ||||||
9 | signature authorizes the Illinois Commerce Commission to
| ||||||
10 | lower the amount of check if fee submitted exceeds correct | ||||||
11 | amount."
| ||||||
12 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
13 | (625 ILCS 5/18c-1502.05)
| ||||||
14 | Sec. 18c-1502.05. Route Mileage Fee for Rail Carriers. | ||||||
15 | Beginning with
the effective date of this amendatory Act of the | ||||||
16 | 96th General Assembly
calendar year 2004 , every rail carrier | ||||||
17 | shall pay to the Commission
for each
calendar year a route | ||||||
18 | mileage fee of $37
$45 for each route mile of
railroad right
of | ||||||
19 | way owned by the rail carrier in Illinois. The fee shall be | ||||||
20 | based on the
number of route miles as of January 1 of the year | ||||||
21 | for which the fee is due, and
the payment of the route mileage | ||||||
22 | fee shall be due by February 1 of each
calendar year.
| ||||||
23 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
24 | (625 ILCS 5/18c-1502.10)
|
| |||||||
| |||||||
1 | Sec. 18c-1502.10. Railroad-Highway Grade Crossing and | ||||||
2 | Grade Separation
Fee. Beginning with the effective date of this | ||||||
3 | amendatory Act of the 96th General Assembly
calendar year 2004 , | ||||||
4 | every rail carrier shall
pay to the Commission for each | ||||||
5 | calendar year a fee of $23
$28 for each
location at
which the | ||||||
6 | rail carrier's track crosses a public road, highway, or street,
| ||||||
7 | whether the crossing be at grade, by overhead structure, or by | ||||||
8 | subway. The fee
shall be based on the number of the crossings | ||||||
9 | as of January 1 of each calendar
year, and the fee shall be due | ||||||
10 | by February 1 of each calendar year.
| ||||||
11 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
12 | (625 ILCS 5/3-806.5 rep.)
| ||||||
13 | Section 195. The Illinois Vehicle Code is amended by | ||||||
14 | repealing Section 3-806.5. | ||||||
15 | Section 200. The Boat Registration and Safety Act is | ||||||
16 | amended by changing Sections 3-2 and 3-7 as follows:
| ||||||
17 | (625 ILCS 45/3-2) (from Ch. 95 1/2, par. 313-2)
| ||||||
18 | Sec. 3-2. Identification number application. The owner of | ||||||
19 | each watercraft
requiring numbering by this State shall file an | ||||||
20 | application for number with
the Department on forms approved by | ||||||
21 | it. The application shall be signed by
the owner of the | ||||||
22 | watercraft and shall be accompanied by a fee as follows:
| ||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||
| ||||||||||||||||||||||||||||||||||||||||||||||||||||
14 | Upon receipt of the application in approved form, and when | |||||||||||||||||||||||||||||||||||||||||||||||||||
15 | satisfied
that no tax imposed pursuant to the "Municipal Use | |||||||||||||||||||||||||||||||||||||||||||||||||||
16 | Tax Act" or the "County
Use Tax Act" is owed, or that such tax | |||||||||||||||||||||||||||||||||||||||||||||||||||
17 | has been paid, the Department shall
enter the same upon the | |||||||||||||||||||||||||||||||||||||||||||||||||||
18 | records of its office and issue to the applicant a
certificate | |||||||||||||||||||||||||||||||||||||||||||||||||||
19 | of number stating the number awarded to the watercraft and
the | |||||||||||||||||||||||||||||||||||||||||||||||||||
20 | name and address of the owner.
| |||||||||||||||||||||||||||||||||||||||||||||||||||
21 | (Source: P.A. 93-32, eff. 7-1-03; 94-45, eff. 1-1-06.)
| |||||||||||||||||||||||||||||||||||||||||||||||||||
22 | (625 ILCS 45/3-7) (from Ch. 95 1/2, par. 313-7)
| |||||||||||||||||||||||||||||||||||||||||||||||||||
23 | Sec. 3-7. Loss of certificate. Should a certificate of | |||||||||||||||||||||||||||||||||||||||||||||||||||
24 | number or registration expiration decal become
lost, | |||||||||||||||||||||||||||||||||||||||||||||||||||
25 | destroyed, or mutilated beyond legibility, the owner of the
|
| |||||||
| |||||||
1 | watercraft shall make application to the Department for the | ||||||
2 | replacement of
the certificate or decal, giving his name, | ||||||
3 | address, and the number of his
boat and shall at the same time | ||||||
4 | pay to the Department a fee of $1
$5 .
| ||||||
5 | (Source: P.A. 93-32, eff. 7-1-03.)
| ||||||
6 | Section 205. The Illinois Controlled Substances Act is | ||||||
7 | amended by changing Section 303 as follows: | ||||||
8 | (720 ILCS 570/303) (from Ch. 56 1/2, par. 1303) | ||||||
9 | Sec. 303. (a) The Department of Professional Regulation | ||||||
10 | shall license an
applicant to manufacture, distribute or | ||||||
11 | dispense controlled substances
included in Sections 204, 206, | ||||||
12 | 208, 210 and 212 of this Act or purchase,
store, or administer | ||||||
13 | euthanasia drugs unless it
determines that the issuance of that | ||||||
14 | license would be
inconsistent
with the public interest. In | ||||||
15 | determining the public interest, the
Department of | ||||||
16 | Professional Regulation shall consider the following:
| ||||||
17 | (1) maintenance of effective controls against | ||||||
18 | diversion of controlled
substances into other than lawful | ||||||
19 | medical, scientific, or industrial
channels;
| ||||||
20 | (2) compliance with applicable Federal, State and | ||||||
21 | local law;
| ||||||
22 | (3) any convictions of the applicant under any law of | ||||||
23 | the United States
or of any State relating to any | ||||||
24 | controlled substance;
|
| |||||||
| |||||||
1 | (4) past experience in the manufacture or distribution | ||||||
2 | of controlled
substances, and the existence in the | ||||||
3 | applicant's establishment of effective
controls against | ||||||
4 | diversion;
| ||||||
5 | (5) furnishing by the applicant of false or fraudulent | ||||||
6 | material in any
application filed under this Act;
| ||||||
7 | (6) suspension or revocation of the applicant's | ||||||
8 | Federal
registration to
manufacture, distribute, or | ||||||
9 | dispense controlled substances, or purchase,
store, or | ||||||
10 | administer euthanasia drugs, as authorized by
Federal law;
| ||||||
11 | (7) whether the applicant is suitably equipped with the | ||||||
12 | facilities
appropriate to carry on the operation described | ||||||
13 | in his application;
| ||||||
14 | (8) whether the applicant is of good moral character | ||||||
15 | or, if the
applicant is a partnership, association, | ||||||
16 | corporation or other organization,
whether the partners, | ||||||
17 | directors, governing committee and managing officers
are | ||||||
18 | of good moral character;
| ||||||
19 | (9) any other factors relevant to and consistent with | ||||||
20 | the public health
and safety; and
| ||||||
21 | (10) evidence from court, medical disciplinary and | ||||||
22 | pharmacy
board records and those of State and Federal | ||||||
23 | investigatory bodies that the
applicant has not or does not | ||||||
24 | prescribe controlled substances within the
provisions of | ||||||
25 | this Act.
| ||||||
26 | (b) No license shall be granted to or renewed for any
|
| |||||||
| |||||||
1 | person who
has within 5 years been convicted of a wilful | ||||||
2 | violation of any law of the
United States or any law of any | ||||||
3 | State relating to controlled substances, or
who is found to be | ||||||
4 | deficient in any of the matters enumerated in
subsections | ||||||
5 | (a)(1) through (a)(8).
| ||||||
6 | (c) Licensure under subsection (a) does not entitle a
| ||||||
7 | registrant to
manufacture, distribute or dispense controlled | ||||||
8 | substances in Schedules I or
II other than those specified in | ||||||
9 | the registration.
| ||||||
10 | (d) Practitioners who are licensed to dispense any
| ||||||
11 | controlled
substances in Schedules II through V are authorized | ||||||
12 | to
conduct instructional activities with controlled substances
| ||||||
13 | in Schedules II through V under the law of this State.
| ||||||
14 | (e) If an applicant for registration is registered under | ||||||
15 | the Federal law
to manufacture, distribute or dispense | ||||||
16 | controlled substances, or purchase,
store, or administer | ||||||
17 | euthanasia drugs, upon filing a
completed application for | ||||||
18 | licensure in this State and
payment of all
fees due hereunder, | ||||||
19 | he shall be licensed in this State to
the same extent
as his | ||||||
20 | Federal registration, unless, within 30 days after completing | ||||||
21 | his
application in this State, the Department of Professional | ||||||
22 | Regulation
notifies the applicant that his application has not | ||||||
23 | been granted. A
practitioner who is in compliance with the | ||||||
24 | Federal law with respect to
registration to dispense controlled | ||||||
25 | substances in Schedules II through V
need only send a current | ||||||
26 | copy of that Federal registration to the
Department of |
| |||||||
| |||||||
1 | Professional Regulation and he shall be deemed in
compliance | ||||||
2 | with the registration provisions of this State.
| ||||||
3 | (e-5) Beginning July 1, 2003 and until the effective date | ||||||
4 | of this amendatory Act of the 96th General Assembly , all of the | ||||||
5 | fees and fines collected under
this Section 303 shall be | ||||||
6 | deposited into the Illinois State Pharmacy
Disciplinary Fund.
| ||||||
7 | (f) The fee for registration as a manufacturer or wholesale | ||||||
8 | distributor
of controlled substances shall be $50.00 per year, | ||||||
9 | except that the fee for
registration as a manufacturer or | ||||||
10 | wholesale distributor of controlled
substances that may be | ||||||
11 | dispensed without a prescription under this Act
shall be $15.00 | ||||||
12 | per year. The expiration date and renewal period for
each | ||||||
13 | controlled substance license issued
under this Act shall be set | ||||||
14 | by rule.
| ||||||
15 | (Source: P.A. 93-32, eff. 7-1-03; 93-626, eff. 12-23-03.)
| ||||||
16 | Section 210. The Unified Code of Corrections is amended by | ||||||
17 | changing Section 5-9-1 as follows:
| ||||||
18 | (730 ILCS 5/5-9-1) (from Ch. 38, par. 1005-9-1)
| ||||||
19 | Sec. 5-9-1. Authorized fines.
| ||||||
20 | (a) An offender may be sentenced to pay a
fine which shall | ||||||
21 | not exceed for each offense:
| ||||||
22 | (1) for a felony, $25,000 or the amount specified in | ||||||
23 | the
offense,
whichever is greater, or where the offender is | ||||||
24 | a corporation, $50,000 or
the amount specified in the |
| |||||||
| |||||||
1 | offense, whichever is greater;
| ||||||
2 | (2) for a Class A misdemeanor, $2,500 or the amount
| ||||||
3 | specified in the
offense, whichever is greater;
| ||||||
4 | (3) for a Class B or Class C misdemeanor, $1,500;
| ||||||
5 | (4) for a petty offense, $1,000 or the amount specified | ||||||
6 | in
the offense,
whichever is less;
| ||||||
7 | (5) for a business offense, the amount specified in the | ||||||
8 | statute defining
that offense.
| ||||||
9 | (b) A fine may be imposed in addition to a sentence of | ||||||
10 | conditional
discharge, probation, periodic imprisonment, or | ||||||
11 | imprisonment.
| ||||||
12 | (c) There shall be added to every fine imposed in | ||||||
13 | sentencing for a
criminal or traffic offense, except an offense | ||||||
14 | relating to parking or
registration, or offense by a | ||||||
15 | pedestrian, an additional penalty of $10 for
each $40, or | ||||||
16 | fraction thereof, of fine imposed.
The additional penalty of | ||||||
17 | $10 for each $40, or fraction thereof, of fine
imposed, if not | ||||||
18 | otherwise assessed, shall also be added to every fine
imposed | ||||||
19 | upon a plea of guilty, stipulation of facts or findings of | ||||||
20 | guilty,
resulting in a judgment of conviction, or order of | ||||||
21 | supervision in criminal,
traffic, local ordinance, county | ||||||
22 | ordinance, and conservation cases (except
parking, | ||||||
23 | registration, or pedestrian violations), or upon
a sentence of | ||||||
24 | probation without entry of judgment under Section 10 of the
| ||||||
25 | Cannabis Control Act, Section 410 of the Illinois Controlled | ||||||
26 | Substances Act, or Section 70 of the Methamphetamine Control |
| |||||||
| |||||||
1 | and Community Protection Act.
| ||||||
2 | Such additional amounts shall be assessed by the court | ||||||
3 | imposing
the fine and shall be collected by the Circuit Clerk | ||||||
4 | in addition to the
fine and costs in the case. Each such | ||||||
5 | additional penalty shall be
remitted by the Circuit Clerk | ||||||
6 | within one month after receipt to the State
Treasurer. The | ||||||
7 | State Treasurer shall deposit $1 for each $40, or fraction
| ||||||
8 | thereof, of fine imposed into the LEADS Maintenance Fund. The | ||||||
9 | State Treasurer shall deposit $1 for each $40, or fraction
| ||||||
10 | thereof, of fine imposed into the Law Enforcement Camera Grant | ||||||
11 | Fund. The remaining
surcharge amount shall be deposited into | ||||||
12 | the Traffic and Criminal Conviction
Surcharge
Fund, unless the | ||||||
13 | fine, costs or additional amounts are subject to
disbursement | ||||||
14 | by the circuit clerk under Section 27.5 of the Clerks of
Courts | ||||||
15 | Act. Such additional penalty shall not be considered a part of | ||||||
16 | the fine
for purposes of any reduction in the fine for time | ||||||
17 | served either before or
after sentencing.
Not later than March | ||||||
18 | 1 of each year the Circuit Clerk
shall submit a report of the | ||||||
19 | amount of funds remitted to the State
Treasurer under this | ||||||
20 | subsection (c) during the preceding calendar year.
Except as | ||||||
21 | otherwise provided by Supreme Court Rules, if a court in | ||||||
22 | imposing
a fine against an offender levies a gross
amount for | ||||||
23 | fine, costs, fees and penalties, the amount of the additional
| ||||||
24 | penalty provided for herein shall be computed on the amount | ||||||
25 | remaining after
deducting from the gross amount levied all fees | ||||||
26 | of the Circuit Clerk, the
State's Attorney and the Sheriff. |
| |||||||
| |||||||
1 | After deducting from the gross amount
levied the fees and | ||||||
2 | additional penalty provided for herein, less any other
| ||||||
3 | additional penalties provided by law, the clerk shall remit the | ||||||
4 | net balance
remaining to the entity authorized by law to | ||||||
5 | receive the fine imposed in
the case. For purposes of this | ||||||
6 | Section "fees of the Circuit Clerk" shall
include, if | ||||||
7 | applicable, the fee provided for under Section 27.3a of the
| ||||||
8 | Clerks of Courts Act and the fee, if applicable, payable to the | ||||||
9 | county in
which the violation occurred pursuant to Section | ||||||
10 | 5-1101 of the Counties Code.
| ||||||
11 | (c-5) In addition to the fines imposed by subsection (c), | ||||||
12 | any person
convicted or receiving an order of supervision for | ||||||
13 | driving under the influence
of alcohol or drugs shall pay an | ||||||
14 | additional $100 fee to the clerk.
This
additional fee, less 2 | ||||||
15 | 1/2% that shall be
used to defray administrative costs incurred | ||||||
16 | by the clerk, shall be remitted by
the clerk to the Treasurer | ||||||
17 | within 60 days after receipt for deposit into the
Trauma Center | ||||||
18 | Fund. This additional fee of $100 shall not be
considered a | ||||||
19 | part of
the
fine for purposes of any reduction in the fine for | ||||||
20 | time served either before or
after sentencing.
Not later than | ||||||
21 | March 1 of each year the Circuit Clerk
shall submit a report of | ||||||
22 | the amount of funds remitted to the State
Treasurer under this | ||||||
23 | subsection (c-5) during the preceding calendar year.
| ||||||
24 | The Circuit Clerk may accept payment of fines and costs by | ||||||
25 | credit card
from an offender who has been convicted of a | ||||||
26 | traffic offense, petty offense
or misdemeanor and may charge |
| |||||||
| |||||||
1 | the service fee permitted where fines and
costs are paid by | ||||||
2 | credit card provided for in Section 27.3b of the Clerks
of | ||||||
3 | Courts Act.
| ||||||
4 | (c-7) In addition to the fines imposed by subsection (c), | ||||||
5 | any person
convicted or receiving an order of supervision for | ||||||
6 | driving under the influence
of alcohol or drugs shall pay an | ||||||
7 | additional $5 fee to the clerk. This
additional fee, less 2 | ||||||
8 | 1/2% that shall be
used to defray administrative costs incurred | ||||||
9 | by the clerk, shall be remitted by
the clerk to the Treasurer | ||||||
10 | within 60 days after receipt for deposit into the
Spinal Cord | ||||||
11 | Injury Paralysis Cure Research Trust Fund. This additional fee | ||||||
12 | of
$5 shall not be
considered a part of
the
fine for purposes | ||||||
13 | of any reduction in the fine for time served either before or
| ||||||
14 | after sentencing.
Not later than March 1 of each year the | ||||||
15 | Circuit Clerk
shall submit a report of the amount of funds | ||||||
16 | remitted to the State
Treasurer under this subsection (c-7) | ||||||
17 | during the preceding calendar year.
| ||||||
18 | (c-9) (Blank).
| ||||||
19 | (d) In determining the amount and method of payment of a | ||||||
20 | fine, except
for those fines established for violations of | ||||||
21 | Chapter 15 of the Illinois
Vehicle Code, the court shall | ||||||
22 | consider:
| ||||||
23 | (1) the financial resources and future ability of the | ||||||
24 | offender to pay
the fine; and
| ||||||
25 | (2) whether the fine will prevent the offender from | ||||||
26 | making court ordered
restitution or reparation to the |
| |||||||
| |||||||
1 | victim of the offense; and
| ||||||
2 | (3) in a case where the accused is a dissolved | ||||||
3 | corporation and the
court has appointed counsel to | ||||||
4 | represent the corporation, the costs
incurred either by the | ||||||
5 | county or the State for such representation.
| ||||||
6 | (e) The court may order the fine to be paid forthwith or | ||||||
7 | within a
specified period of time or in installments.
| ||||||
8 | (f) All fines, costs and additional amounts imposed under | ||||||
9 | this Section
for any violation of Chapters 3, 4, 6, and 11 of | ||||||
10 | the Illinois Vehicle Code,
or a similar provision of a local | ||||||
11 | ordinance, and any violation of the Child
Passenger Protection | ||||||
12 | Act, or a similar provision of a local ordinance,
shall be | ||||||
13 | collected and disbursed by the circuit clerk as provided under
| ||||||
14 | Section 27.5 of the Clerks of Courts Act.
| ||||||
15 | (Source: P.A. 93-32, eff. 6-20-03; 94-556, eff. 9-11-05; | ||||||
16 | 94-652, eff. 8-22-05; 94-987, eff. 6-30-06.)
| ||||||
17 | Section 215. The Business Corporation Act of 1983 is | ||||||
18 | amended by changing Sections 15.10, 15.12, 15.15, 15.45, 15.75, | ||||||
19 | and 15.95 as follows:
| ||||||
20 | (805 ILCS 5/15.10) (from Ch. 32, par. 15.10)
| ||||||
21 | Sec. 15.10. Fees for filing documents. The Secretary of | ||||||
22 | State shall charge and collect for:
| ||||||
23 | (a) Filing articles of incorporation, $75 $150 .
| ||||||
24 | (b) Filing articles of amendment, $25 $50 , unless the |
| |||||||
| |||||||
1 | amendment is a
restatement
of the articles of
incorporation, in | ||||||
2 | which case the fee shall be $100 $150 .
| ||||||
3 | (c) Filing articles of merger or consolidation, $100, but | ||||||
4 | if the merger or
consolidation involves more than 2 | ||||||
5 | corporations, $50 for each
additional corporation.
| ||||||
6 | (d) Filing articles of share exchange, $100.
| ||||||
7 | (e) Filing articles of dissolution, $5.
| ||||||
8 | (f) Filing application to reserve a corporate name, $25.
| ||||||
9 | (g) Filing a notice of transfer of a reserved corporate | ||||||
10 | name, $25.
| ||||||
11 | (h) Filing statement of change of address of registered | ||||||
12 | office or
change of registered agent, or both, $5 $25 .
| ||||||
13 | (i) Filing statement of the establishment of a series of | ||||||
14 | shares,
$25.
| ||||||
15 | (j) Filing an application of a foreign corporation for | ||||||
16 | authority to transact
business in this State, $75 $150 .
| ||||||
17 | (k) Filing an application of a foreign corporation for | ||||||
18 | amended authority to
transact business in this State, $25.
| ||||||
19 | (l) Filing a copy of amendment to the articles of | ||||||
20 | incorporation of a
foreign corporation holding authority to | ||||||
21 | transact
business in this State, $25 $50 , unless the amendment | ||||||
22 | is a restatement
of
the articles of incorporation, in which | ||||||
23 | case the fee shall be $100 $150 .
| ||||||
24 | (m) Filing a copy of articles of merger of a foreign | ||||||
25 | corporation
holding a certificate of authority to transact | ||||||
26 | business in this State,
$100, but if the merger involves more |
| |||||||
| |||||||
1 | than 2 corporations, $50 for each
additional corporation.
| ||||||
2 | (n) Filing an application for withdrawal and final report | ||||||
3 | or a copy of
articles of dissolution of a foreign corporation, | ||||||
4 | $25.
| ||||||
5 | (o) Filing an annual report, interim annual report, or | ||||||
6 | final transition
annual report of a domestic or foreign | ||||||
7 | corporation, $25 $75 .
| ||||||
8 | (p) Filing an application for reinstatement of a domestic | ||||||
9 | or a foreign
corporation, $100 $200 .
| ||||||
10 | (q) Filing an application for use of an assumed corporate | ||||||
11 | name, $150 for
each year or part thereof
ending in 0 or 5, $120 | ||||||
12 | for each year or part thereof ending in 1 or 6, $90
for each | ||||||
13 | year or part thereof ending in 2 or 7, $60 for each year or part
| ||||||
14 | thereof ending in 3 or 8, $30 for each year or part thereof | ||||||
15 | ending in 4 or 9,
between the date of filing
the application | ||||||
16 | and the date of the renewal of the assumed corporate name;
and | ||||||
17 | a renewal fee for each assumed corporate name, $150.
| ||||||
18 | (r) To change an assumed corporate name for the period | ||||||
19 | remaining until
the renewal date of the original assumed name, | ||||||
20 | $25.
| ||||||
21 | (s) Filing an application for cancellation of an assumed | ||||||
22 | corporate name, $5.
| ||||||
23 | (t) Filing an application to register the corporate name of | ||||||
24 | a foreign
corporation, $50; and an annual renewal fee for the | ||||||
25 | registered name, $50.
| ||||||
26 | (u) Filing an application for cancellation of a registered |
| |||||||
| |||||||
1 | name of a
foreign corporation, $25.
| ||||||
2 | (v) Filing a statement of correction, $25 $50 .
| ||||||
3 | (w) Filing a petition for refund or adjustment, $5.
| ||||||
4 | (x) Filing a statement of election of an extended filing | ||||||
5 | month, $25.
| ||||||
6 | (y) Filing any other statement or report, $5.
| ||||||
7 | (Source: P.A. 95-331, eff. 8-21-07.)
| ||||||
8 | (805 ILCS 5/15.12)
| ||||||
9 | Sec. 15.12. Disposition of fees. Of the total money | ||||||
10 | collected for the
filing of an annual report under this Act, | ||||||
11 | $10
$15 of the filing fee
shall be paid
into the Secretary of | ||||||
12 | State Special Services Fund. The remaining $15
$60 shall be
| ||||||
13 | deposited into the General Revenue Fund in the State Treasury.
| ||||||
14 | (Source: P.A. 93-32, eff. 12-1-03.)
| ||||||
15 | (805 ILCS 5/15.15) (from Ch. 32, par. 15.15)
| ||||||
16 | Sec. 15.15. Miscellaneous charges. The Secretary of State | ||||||
17 | shall charge and
collect;
| ||||||
18 | (a) For furnishing a copy or certified copy of any | ||||||
19 | document, instrument, or
paper relating to a corporation, $0.50 | ||||||
20 | per page, not not less than $5, and $5 for the certificate and | ||||||
21 | for affixing the seal thereto
or for a certificate, $25 .
| ||||||
22 | (b) At the time of any service of process, notice or demand | ||||||
23 | on him or her
as resident agent of a corporation, $10, which | ||||||
24 | amount may be recovered as
taxable costs by the party to the |
| |||||||
| |||||||
1 | suit or action causing such service to
be made if such party | ||||||
2 | prevails in the suit or action.
| ||||||
3 | (Source: P.A. 93-32, eff. 12-1-03.)
| ||||||
4 | (805 ILCS 5/15.45) (from Ch. 32, par. 15.45)
| ||||||
5 | Sec. 15.45. Rate of franchise taxes payable by domestic | ||||||
6 | corporations.
| ||||||
7 | (a) The annual franchise tax payable by each domestic | ||||||
8 | corporation
shall be computed at the rate of 1/12 of 1/10 of 1% | ||||||
9 | for each calendar month
or fraction thereof for the period | ||||||
10 | commencing on the first day of July 1983
to the first day of | ||||||
11 | the anniversary month in 1984, but in no event shall
the amount | ||||||
12 | of the annual franchise tax be less than $2.08333 per month | ||||||
13 | assessed
on a minimum of $25 per annum or more than | ||||||
14 | $83,333.333333 per month;
commencing on January 1, 1984 to the | ||||||
15 | first day of the anniversary month in
2004 and beginning again | ||||||
16 | on the effective date of this amendatory Act of the 96th | ||||||
17 | General Assembly , the annual franchise tax payable by each | ||||||
18 | domestic
corporation
shall be computed at the rate of 1/10 of | ||||||
19 | 1% for the 12-months' period
commencing on the first day of the | ||||||
20 | anniversary month or, in
cases where
a corporation has | ||||||
21 | established an extended filing month, the extended filing
month | ||||||
22 | of the corporation, but in no event shall the amount of the | ||||||
23 | annual
franchise tax be less than $25 nor more than $1,000,000 | ||||||
24 | per annum; commencing
with the first anniversary month that | ||||||
25 | occurs after December,
2003 until the effective date of this |
| |||||||
| |||||||
1 | amendatory Act of the 96th General Assembly ,
the annual | ||||||
2 | franchise tax payable by each domestic corporation shall be | ||||||
3 | computed
at the rate of 1/10 of 1% for the 12-months' period | ||||||
4 | commencing on the first day
of the anniversary month or, in | ||||||
5 | cases where a corporation has established
an
extended filing | ||||||
6 | month, the extended filing month of the corporation, but in
no | ||||||
7 | event shall the amount of the annual franchise tax be less than | ||||||
8 | $25 nor more
than $2,000,000 per annum.
| ||||||
9 | (b) The annual franchise tax payable by each domestic | ||||||
10 | corporation at the
time of filing a statement of election and | ||||||
11 | interim annual report in
connection with an anniversary month | ||||||
12 | prior to January, 2004 and in connection with an anniversary | ||||||
13 | month on or after the effective date of this amendatory Act of | ||||||
14 | the 96th General Assembly shall be
computed at the rate of 1/10 | ||||||
15 | of 1% for the 12 month period commencing on
the first day of | ||||||
16 | the anniversary month of the corporation next following
such | ||||||
17 | filing, but in no event shall the amount of the annual | ||||||
18 | franchise tax
be less than $25 nor more than $1,000,000 per | ||||||
19 | annum; commencing with the
first anniversary month that occurs | ||||||
20 | after December,
2003 until the effective date of this | ||||||
21 | amendatory Act of the 96th General Assembly ,
the annual | ||||||
22 | franchise tax payable by each domestic corporation at the time | ||||||
23 | of
filing a statement of election and interim annual report | ||||||
24 | shall be computed
at the rate of 1/10 of 1% for the 12-month | ||||||
25 | period commencing on the first day
of the anniversary month of | ||||||
26 | the corporation next following such filing, but in
no event |
| |||||||
| |||||||
1 | shall the amount of the annual
franchise tax be less than $25 | ||||||
2 | nor more
than $2,000,000 per annum.
| ||||||
3 | (c) The annual franchise tax payable at the time of filing | ||||||
4 | the final
transition annual report in connection with an | ||||||
5 | anniversary month prior to
January, 2004 and in connection with | ||||||
6 | an anniversary month on or after the effective date of this | ||||||
7 | amendatory Act of the 96th General Assembly shall be an amount | ||||||
8 | equal to (i) 1/12 of 1/10 of 1%
per month of the proportion of | ||||||
9 | paid-in capital represented in this State as
shown in the final | ||||||
10 | transition annual report multiplied by (ii) the number
of | ||||||
11 | months commencing with the anniversary month next following the | ||||||
12 | filing
of the statement of election until, but excluding, the | ||||||
13 | second extended
filing month, less the annual franchise tax | ||||||
14 | theretofore paid at the time of
filing the statement of | ||||||
15 | election, but in no event shall the amount of the
annual | ||||||
16 | franchise tax be less than $2.08333 per month assessed on a | ||||||
17 | minimum
of $25 per annum or more than $83,333.333333 per month; | ||||||
18 | commencing with the
first anniversary month that occurs after | ||||||
19 | December,
2003 until the effective date of this amendatory Act | ||||||
20 | of the 96th General Assembly ,
the annual franchise tax payable | ||||||
21 | at the time of filing the final transition
annual report shall | ||||||
22 | be an amount equal to (i) 1/12 of 1/10 of 1% per month of
the | ||||||
23 | proportion of paid-in capital represented in this State as | ||||||
24 | shown in the
final transition annual report multiplied by (ii) | ||||||
25 | the number of months
commencing with the anniversary month next | ||||||
26 | following the filing of the
statement of election until, but |
| |||||||
| |||||||
1 | excluding, the second extended filing month,
less the annual | ||||||
2 | franchise tax theretofore paid at the time of filing the
| ||||||
3 | statement of election, but in no event shall the amount of the | ||||||
4 | annual franchise
tax be less than $2.08333 per month assessed | ||||||
5 | on a minimum of $25 per annum or
more than $166,666.666666 per | ||||||
6 | month.
| ||||||
7 | (d) The initial franchise tax payable after January 1, | ||||||
8 | 1983, but prior
to
January 1, 1991, by each domestic | ||||||
9 | corporation shall be computed at the rate
of 1/10 of 1% for the | ||||||
10 | 12 months' period commencing on the first day of the
| ||||||
11 | anniversary month in which the certificate of incorporation is | ||||||
12 | issued to
the corporation under Section 2.10 of this Act, but | ||||||
13 | in no event shall
the franchise tax be less than $25 nor more | ||||||
14 | than $1,000,000 per annum.
The initial franchise tax payable on | ||||||
15 | or after January 1, 1991, but prior to
January 1, 2004 and | ||||||
16 | payable on or after the effective date of this amendatory Act | ||||||
17 | of the 96th General Assembly , by each
domestic corporation | ||||||
18 | shall be computed at the rate of 15/100 of 1% for the
12 month | ||||||
19 | period commencing on the first day of the anniversary month in
| ||||||
20 | which the certificate
articles of incorporation is issued to | ||||||
21 | the corporation under
are filed in
accordance
with
Section 2.10 | ||||||
22 | of this Act, but in no event shall the initial franchise tax
be | ||||||
23 | less than $25 nor more than $1,000,000 per annum plus 1/20th of | ||||||
24 | 1% of
the basis therefor.
The initial franchise tax payable on | ||||||
25 | or after January 1, 2004 until the effective date of this | ||||||
26 | amendatory Act of the 96th General Assembly , by each
domestic |
| |||||||
| |||||||
1 | corporation shall be computed at the rate of 15/100 of 1% for | ||||||
2 | the
12-month period commencing on the first day of the | ||||||
3 | anniversary month in which
the
articles of incorporation are | ||||||
4 | filed in accordance with Section 2.10 of this
Act,
but in no | ||||||
5 | event shall the initial franchise tax be less than $25 nor more | ||||||
6 | than
$2,000,000 per annum plus 1/10th of 1% of the basis | ||||||
7 | therefor.
| ||||||
8 | (e) Each additional franchise tax payable by each domestic | ||||||
9 | corporation
for
the period beginning January 1, 1983 through | ||||||
10 | December 31, 1983 shall be
computed at the rate of 1/12 of 1/10 | ||||||
11 | of 1% for each calendar month or fraction
thereof, between the | ||||||
12 | date of each respective increase in its paid-in capital
and its | ||||||
13 | anniversary month in 1984; thereafter until the last day of the
| ||||||
14 | month that is both after December 31, 1990 and the
third month | ||||||
15 | immediately preceding the anniversary month in 1991, each
| ||||||
16 | additional franchise tax payable by each domestic corporation | ||||||
17 | shall be
computed at the rate of 1/12 of 1/10 of 1% for each | ||||||
18 | calendar month, or
fraction thereof, between the date of each | ||||||
19 | respective increase in
its paid-in capital and its next | ||||||
20 | anniversary month; however, if the increase
occurs within the 2 | ||||||
21 | month period immediately preceding the anniversary month,
the | ||||||
22 | tax shall be computed to the anniversary month of the next | ||||||
23 | succeeding
calendar year. Commencing with increases in paid-in | ||||||
24 | capital that occur
subsequent to both December 31, 1990 and the | ||||||
25 | last day of the third
month immediately preceding the | ||||||
26 | anniversary month in 1991, the additional
franchise tax payable |
| |||||||
| |||||||
1 | by a domestic corporation shall be computed at the
rate of | ||||||
2 | 15/100 of 1%.
| ||||||
3 | (Source: P.A. 93-32, eff. 12-1-03.)
| ||||||
4 | (805 ILCS 5/15.75) (from Ch. 32, par. 15.75)
| ||||||
5 | Sec. 15.75. Rate of franchise taxes payable by foreign | ||||||
6 | corporations.
| ||||||
7 | (a) The annual franchise tax payable by each foreign | ||||||
8 | corporation
shall be computed at the rate of 1/12 of 1/10 of 1% | ||||||
9 | for each calendar month
or fraction thereof for the period | ||||||
10 | commencing on the first day of July 1983
to the first day of | ||||||
11 | the anniversary month in 1984, but in no event shall
the amount | ||||||
12 | of the annual franchise tax be less than $2.083333 per month
| ||||||
13 | based on a minimum of $25 per annum or more than $83,333.333333 | ||||||
14 | per month;
commencing on January 1, 1984 to the first day of | ||||||
15 | the anniversary month in
2004 and commencing on or after the | ||||||
16 | effective date of this amendatory Act of the 96th General | ||||||
17 | Assembly , the annual franchise tax payable by each foreign | ||||||
18 | corporation
shall be computed at the rate of 1/10 of 1% for the | ||||||
19 | 12-months' period
commencing on the first day of the | ||||||
20 | anniversary month or, in the case
of
a corporation that has | ||||||
21 | established an extended filing month, the extended
filing month | ||||||
22 | of the corporation, but in no event shall the amount of the
| ||||||
23 | annual franchise tax be less than $25 nor more than $1,000,000 | ||||||
24 | per annum;
commencing on January 1, 2004 until the effective | ||||||
25 | date of this amendatory Act of the 96th General Assembly , the |
| |||||||
| |||||||
1 | annual franchise tax payable by each
foreign corporation shall | ||||||
2 | be computed at the rate of 1/10 of 1% for the
12-month period | ||||||
3 | commencing on the first day of the anniversary month or, in
the | ||||||
4 | case of a corporation that has established an extended filing | ||||||
5 | month, the
extended filing month of the corporation, but in no | ||||||
6 | event shall the amount of
the annual franchise tax be less than | ||||||
7 | $25 nor more then $2,000,000 per annum.
| ||||||
8 | (b) The annual franchise tax payable by each foreign | ||||||
9 | corporation at the
time of filing a statement of election and | ||||||
10 | interim annual report in
connection with an anniversary month | ||||||
11 | prior to January, 2004 and in connection with an anniversary | ||||||
12 | month on or after the effective date of this amendatory Act of | ||||||
13 | the 96th General Assembly shall be
computed at the rate of 1/10 | ||||||
14 | of 1% for the 12 month period commencing on
the first day of | ||||||
15 | the anniversary month of the corporation next following
the | ||||||
16 | filing, but in no event shall the amount of the annual | ||||||
17 | franchise tax
be less than $25 nor more than $1,000,000 per | ||||||
18 | annum; commencing with the
first anniversary month that occurs | ||||||
19 | after December,
2003 until the effective date of this | ||||||
20 | amendatory Act of the 96th General Assembly ,
the annual | ||||||
21 | franchise tax payable by each foreign corporation at the time | ||||||
22 | of
filing a statement of election and interim annual report | ||||||
23 | shall be computed
at the rate of 1/10 of 1% for the 12-month | ||||||
24 | period commencing on the first day
of the anniversary month of | ||||||
25 | the corporation next following such filing, but in
no event | ||||||
26 | shall the amount of the annual
franchise tax be less than $25 |
| |||||||
| |||||||
1 | nor more
than $2,000,000 per annum.
| ||||||
2 | (c) The annual franchise tax payable at the time of filing | ||||||
3 | the final
transition annual report in connection with an | ||||||
4 | anniversary month prior to
January, 2004 and in connection with | ||||||
5 | an anniversary month on or after the effective date of this | ||||||
6 | amendatory Act of the 96th General Assembly shall be an amount | ||||||
7 | equal to (i) 1/12 of 1/10 of 1%
per month of the proportion of | ||||||
8 | paid-in capital represented in this State as
shown in the final | ||||||
9 | transition annual report multiplied by (ii) the number
of | ||||||
10 | months commencing with the anniversary month next following the | ||||||
11 | filing
of the statement of election until, but excluding, the | ||||||
12 | second extended
filing month, less the annual franchise tax | ||||||
13 | theretofore paid at the time of
filing the statement of | ||||||
14 | election, but in no event shall the amount of the
annual | ||||||
15 | franchise tax be less than $2.083333 per month based on a | ||||||
16 | minimum of
$25 per annum or more than $83,333.333333 per month; | ||||||
17 | commencing with the
first anniversary month that occurs after | ||||||
18 | December,
2003 until the effective date of this amendatory Act | ||||||
19 | of the 96th General Assembly ,
the annual franchise tax payable | ||||||
20 | at the time of filing the final transition
annual report shall | ||||||
21 | be an amount equal to (i) 1/12 of 1/10 of 1% per month of
the | ||||||
22 | proportion of paid-in capital represented in this State as | ||||||
23 | shown in the
final transition annual report multiplied by (ii) | ||||||
24 | the number of months
commencing with the anniversary month next | ||||||
25 | following the filing of the
statement of election until, but | ||||||
26 | excluding, the second extended filing month,
less the annual |
| |||||||
| |||||||
1 | franchise tax theretofore paid at the time of filing the
| ||||||
2 | statement of election, but in no event shall the amount of the | ||||||
3 | annual franchise
tax be less than $2.083333 per month based on | ||||||
4 | a minimum of $25 per annum or
more than $166,666.666666 per | ||||||
5 | month.
| ||||||
6 | (d) The initial franchise tax payable after January 1, | ||||||
7 | 1983, but prior
to
January 1, 1991, by each foreign corporation | ||||||
8 | shall be computed at the rate
of 1/10 of 1% for the 12 months' | ||||||
9 | period commencing on the first day of the
anniversary month in | ||||||
10 | which the application for authority
is
filed by the
corporation | ||||||
11 | under Section 13.15 of this Act, but in no event shall the
| ||||||
12 | franchise tax be less than $25 nor more than $1,000,000 per | ||||||
13 | annum. Except
in the case of a foreign corporation that has | ||||||
14 | begun transacting business in
Illinois prior to January 1, | ||||||
15 | 1991, the initial franchise tax payable on or
after January 1, | ||||||
16 | 1991, by each foreign
corporation, shall be computed at
the | ||||||
17 | rate of 15/100 of 1% for the 12-month period commencing on
the | ||||||
18 | first
day of the anniversary month in which the application for | ||||||
19 | authority is
filed by the corporation under Section 13.15 of | ||||||
20 | this Act, but
in no event
shall the franchise tax for a taxable | ||||||
21 | year commencing prior to January 1,
2004 or commencing on or | ||||||
22 | after the effective date of this amendatory Act of the 96th | ||||||
23 | General Assembly be less than $25 nor more than $1,000,000 per | ||||||
24 | annum
plus 1/20 of 1% of the basis therefor
and in no event | ||||||
25 | shall the franchise tax for a taxable year commencing on or
| ||||||
26 | after
January 1, 2004 or commencing before the effective date |
| |||||||
| |||||||
1 | of this amendatory Act of the 96th General Assembly be less | ||||||
2 | than $25 or more than $2,000,000 per annum plus 1/20 of
1% of | ||||||
3 | the basis therefor.
| ||||||
4 | (e) Whenever the application for authority indicates
that
| ||||||
5 | the corporation commenced transacting business:
| ||||||
6 | (1) prior to January 1, 1991, the initial franchise tax | ||||||
7 | shall be
computed at the rate of 1/12 of 1/10 of 1% for | ||||||
8 | each calendar month; or
| ||||||
9 | (2) after December 31, 1990, the initial franchise tax | ||||||
10 | shall be
computed at the rate of 1/12 of 15/100 of 1% for | ||||||
11 | each calendar month.
| ||||||
12 | (f) Each additional franchise tax payable by each foreign | ||||||
13 | corporation
for the
period beginning January 1, 1983 through | ||||||
14 | December 31, 1983 shall be computed
at the rate of 1/12 of 1/10 | ||||||
15 | of 1% for each calendar month or fraction thereof
between the | ||||||
16 | date of each respective increase in its paid-in capital
and its | ||||||
17 | anniversary month in 1984; thereafter until the last day of the
| ||||||
18 | month that is both after December 31, 1990 and the third month | ||||||
19 | immediately
preceding the anniversary month in 1991, each | ||||||
20 | additional franchise tax
payable by each foreign corporation | ||||||
21 | shall be computed at the rate of 1/12
of 1/10 of 1% for each | ||||||
22 | calendar month, or fraction thereof, between the
date of each | ||||||
23 | respective increase in its paid-in capital and its next
| ||||||
24 | anniversary month; however, if the increase occurs within the 2 | ||||||
25 | month
period immediately preceding the anniversary month, the | ||||||
26 | tax shall be
computed to the anniversary month of the next |
| |||||||
| |||||||
1 | succeeding calendar year.
Commencing with increases in paid-in | ||||||
2 | capital that occur subsequent to both
December 31, 1990 and the | ||||||
3 | last day of the third month immediately preceding
the | ||||||
4 | anniversary month in 1991, the additional franchise tax payable | ||||||
5 | by a
foreign corporation shall be computed at the rate of | ||||||
6 | 15/100 of 1%.
| ||||||
7 | (Source: P.A. 92-33, eff. 7-1-01; 93-32, eff. 12-1-03.)
| ||||||
8 | (805 ILCS 5/15.95) (from Ch. 32, par. 15.95)
| ||||||
9 | Sec. 15.95. Department of Business Services Special | ||||||
10 | Operations Fund.
| ||||||
11 | (a) A
special fund in the State treasury known as the | ||||||
12 | Division of
Corporations Special Operations
Fund is renamed the | ||||||
13 | Department of Business Services Special Operations
Fund. | ||||||
14 | Moneys deposited into the Fund shall, subject to appropriation, | ||||||
15 | be
used by the Department of Business Services of the
Office of | ||||||
16 | the Secretary of State,
hereinafter "Department", to create and | ||||||
17 | maintain the
capability
to perform
expedited services in | ||||||
18 | response to special requests made by the public for
same day or | ||||||
19 | 24 hour service. Moneys deposited into the Fund shall be used
| ||||||
20 | for, but not limited to, expenditures for personal services, | ||||||
21 | retirement,
social security, contractual services, equipment, | ||||||
22 | electronic data
processing, and telecommunications.
| ||||||
23 | (b) The balance in the Fund at the end of any fiscal year | ||||||
24 | shall not
exceed $400,000 $600,000 and any amount in excess | ||||||
25 | thereof shall be
transferred to
the General Revenue Fund.
|
| |||||||
| |||||||
1 | (c) All fees payable to the Secretary of State under this | ||||||
2 | Section
shall be deposited into the Fund. No other fees or | ||||||
3 | taxes collected under
this Act shall be deposited into the | ||||||
4 | Fund.
| ||||||
5 | (d) "Expedited services" means services rendered within | ||||||
6 | the same day,
or within 24 hours from the time, the request | ||||||
7 | therefor is submitted by the
filer, law firm, service company, | ||||||
8 | or messenger physically in person or, at
the Secretary of | ||||||
9 | State's discretion, by electronic means, to the
Department's | ||||||
10 | Springfield Office and includes requests for
certified copies,
| ||||||
11 | photocopies, and certificates of good standing or fact made to | ||||||
12 | the
Department's Springfield Office in person or by telephone,
| ||||||
13 | or requests for
certificates of good standing or fact made in | ||||||
14 | person or by telephone to the
Department's Chicago Office.
| ||||||
15 | (e) Fees for expedited services shall be as follows:
| ||||||
16 | Restatement of articles, $100 $200 ;
| ||||||
17 | Merger, consolidation or exchange, $100 $200 ;
| ||||||
18 | Articles of incorporation, $50 $100 ;
| ||||||
19 | Articles of amendment, $50 $100 ;
| ||||||
20 | Revocation of dissolution, $50 $100 ;
| ||||||
21 | Reinstatement, $50 $100 ;
| ||||||
22 | Application for authority, $50 $100 ;
| ||||||
23 | Cumulative report of changes in issued shares or
paid-in | ||||||
24 | capital, $50 $100 ;
| ||||||
25 | Report following merger or consolidation, $50 $100 ;
| ||||||
26 | Certificate of good standing or fact, $10 $20 ;
|
| |||||||
| |||||||
1 | All other filings, copies of documents, annual reports
| ||||||
2 | filed on or after January 1, 1984, and copies of documents of | ||||||
3 | dissolved or
revoked
corporations having a
file number over | ||||||
4 | 5199, $25 $50 .
| ||||||
5 | (f) Expedited services shall not be available for a | ||||||
6 | statement of
correction, a petition for refund or adjustment, | ||||||
7 | or a request involving
annual reports filed before January 1, | ||||||
8 | 1984 or involving dissolved corporations
with a
file number | ||||||
9 | below 5200.
| ||||||
10 | (Source: P.A. 95-331, eff. 8-21-07.)
| ||||||
11 | (805 ILCS 15/5.1 rep.)
| ||||||
12 | Section 220. The Medical Corporation Act is amended by | ||||||
13 | repealing Section 5.1.
| ||||||
14 | Section 225. The Limited Liability Company Act is amended | ||||||
15 | by changing Sections 45-45, 50-10, 50-15, and 50-50 as follows:
| ||||||
16 | (805 ILCS 180/45-45)
| ||||||
17 | Sec. 45-45. Transaction of business without
admission.
| ||||||
18 | (a) A foreign limited liability company transacting
| ||||||
19 | business in this State may not maintain a civil action in any
| ||||||
20 | court of this State until the limited liability company is
| ||||||
21 | admitted to transact business in this State.
| ||||||
22 | (b) The failure of a foreign limited liability company
to | ||||||
23 | be admitted to transact business in this State does not
impair |
| |||||||
| |||||||
1 | the validity of any contract or act of the foreign
limited | ||||||
2 | liability company or prevent the foreign limited
liability | ||||||
3 | company from defending any civil action in any
court of this | ||||||
4 | State.
| ||||||
5 | (c) A foreign limited liability company, by transacting
| ||||||
6 | business in this State without being admitted to do so,
| ||||||
7 | appoints the Secretary of State as its agent upon whom any
| ||||||
8 | notice, process, or demand may be served.
| ||||||
9 | (d) A foreign limited liability company that transacts
| ||||||
10 | business in this State without being admitted to do so shall
be | ||||||
11 | liable to the State for the years or parts thereof during
which | ||||||
12 | it transacted business in this State without being
admitted in | ||||||
13 | an amount equal to all fees that would have been
imposed by | ||||||
14 | this Article upon that limited liability company
had it been | ||||||
15 | duly admitted, filed all reports required by this
Article, and | ||||||
16 | paid all penalties imposed by this Article. If
a limited | ||||||
17 | liability company fails to be admitted to do
business in this | ||||||
18 | State within 60 days after it commences
transacting business in | ||||||
19 | Illinois, it is liable for a penalty
of $1,000
$2,000 plus $50
| ||||||
20 | $100 for each month or fraction
thereof in
which it has | ||||||
21 | continued to transact business in this State
without being | ||||||
22 | admitted to do so. The Attorney General shall
bring proceedings | ||||||
23 | to recover all amounts due this State under
this Article.
| ||||||
24 | (e) A member of a foreign limited liability company is
not | ||||||
25 | liable for the debts and obligations of the limited
liability | ||||||
26 | company solely by reason of the company's having
transacted |
| |||||||
| |||||||
1 | business in this State without being admitted to
do so.
| ||||||
2 | (Source: P.A. 93-32, eff. 12-1-03.)
| ||||||
3 | (805 ILCS 180/50-10)
| ||||||
4 | Sec. 50-10. Fees.
| ||||||
5 | (a) The Secretary of State shall charge and collect in
| ||||||
6 | accordance with the provisions of this Act and rules
| ||||||
7 | promulgated under its authority all of the following:
| ||||||
8 | (1) Fees for filing documents.
| ||||||
9 | (2) Miscellaneous charges.
| ||||||
10 | (3) Fees for the sale of lists of filings and for | ||||||
11 | copies
of any documents.
| ||||||
12 | (b) The Secretary of State shall charge and collect for
all | ||||||
13 | of the following:
| ||||||
14 | (1) Filing articles of organization (domestic), | ||||||
15 | application for
admission (foreign), and restated articles | ||||||
16 | of
organization (domestic), $400 $500 . Notwithstanding the | ||||||
17 | foregoing, the fee for filing articles of organization | ||||||
18 | (domestic), application for admission (foreign), and | ||||||
19 | restated articles of organization (domestic) in connection | ||||||
20 | with a limited liability company with a series pursuant to | ||||||
21 | Section 37-40 of this Act is $750.
| ||||||
22 | (2) Filing amendments (domestic or foreign), $100 | ||||||
23 | $150 .
| ||||||
24 | (3) Filing articles of dissolution or
application
for | ||||||
25 | withdrawal, $100.
|
| |||||||
| |||||||
1 | (4) Filing an application to reserve a name, $300.
| ||||||
2 | (5) Renewal fee for reserved name, $100.
| ||||||
3 | (6) Filing a notice of a transfer of a reserved
name, | ||||||
4 | $100.
| ||||||
5 | (7) Registration of a name, $300.
| ||||||
6 | (8) Renewal of registration of a name, $100.
| ||||||
7 | (9) Filing an application for use of an assumed
name | ||||||
8 | under Section 1-20 of this Act, $150 for each
year or part | ||||||
9 | thereof ending in 0 or 5, $120 for each year or
part | ||||||
10 | thereof ending in 1 or 6, $90 for each year or part thereof | ||||||
11 | ending in 2 or
7, $60 for each year or part thereof ending | ||||||
12 | in 3 or 8, $30 for each year or
part thereof ending in 4 or | ||||||
13 | 9, and a renewal for each assumed name, $150.
| ||||||
14 | (10) Filing an application for change of an assumed
| ||||||
15 | name, $100.
| ||||||
16 | (11) Filing an annual report of a limited liability
| ||||||
17 | company or foreign limited liability company, $250, if
| ||||||
18 | filed as required by this Act, plus a penalty if
| ||||||
19 | delinquent. Notwithstanding the foregoing, the fee for | ||||||
20 | filing an annual report of a limited liability company or | ||||||
21 | foreign limited liability company is $250 plus $50 for each | ||||||
22 | series for which a certificate of designation has been | ||||||
23 | filed pursuant to Section 37-40 of this Act, plus a penalty | ||||||
24 | if delinquent.
| ||||||
25 | (12) Filing an application for reinstatement of a
| ||||||
26 | limited liability company or foreign limited liability
|
| |||||||
| |||||||
1 | company
$500.
| ||||||
2 | (13) Filing Articles of Merger, $100 plus $50 for each | ||||||
3 | party to the
merger in excess of the first 2 parties.
| ||||||
4 | (14) Filing an Agreement of Conversion or Statement of | ||||||
5 | Conversion, $100.
| ||||||
6 | (15) Filing a statement of change of address of | ||||||
7 | registered office or change of registered agent, or both, | ||||||
8 | or filing a statement of correction, $25.
| ||||||
9 | (16) Filing a petition for refund, $15.
| ||||||
10 | (17) Filing any other document, $100.
| ||||||
11 | (18) Filing a certificate of designation of a limited | ||||||
12 | liability company with a series pursuant to Section 37-40 | ||||||
13 | of this Act, $50.
| ||||||
14 | (c) The Secretary of State shall charge and collect all
of | ||||||
15 | the following:
| ||||||
16 | (1) For furnishing a copy or certified copy of any
| ||||||
17 | document, instrument, or paper relating to a limited
| ||||||
18 | liability company or foreign limited liability company,
or | ||||||
19 | for a certificate, $25.
| ||||||
20 | (2) For the transfer of information by computer
process | ||||||
21 | media to any purchaser, fees established by
rule.
| ||||||
22 | (Source: P.A. 94-605, eff. 1-1-06; 94-607, eff. 8-16-05; | ||||||
23 | 95-331, eff. 8-21-07.)
| ||||||
24 | (805 ILCS 180/50-15)
| ||||||
25 | Sec. 50-15. Penalty.
|
| |||||||
| |||||||
1 | (a) The Secretary of State shall declare any limited
| ||||||
2 | liability company or foreign limited liability company to be
| ||||||
3 | delinquent and not in good standing if any of the following
| ||||||
4 | occur:
| ||||||
5 | (1) It has failed to file its annual report and
pay the | ||||||
6 | requisite fee as required by this Act before the
first day | ||||||
7 | of the anniversary month in the year in which
it is due.
| ||||||
8 | (2) It has failed to appoint and maintain a
registered | ||||||
9 | agent in Illinois within 60 days of
notification of the | ||||||
10 | Secretary of State by the resigning
registered agent.
| ||||||
11 | (3) (Blank).
| ||||||
12 | (b) If the limited liability company or foreign limited
| ||||||
13 | liability company has not corrected the default within the
time | ||||||
14 | periods prescribed by this Act, the Secretary of State
shall be | ||||||
15 | empowered to invoke any of the following penalties:
| ||||||
16 | (1) For failure or refusal to comply with
subsection | ||||||
17 | (a) of this Section within 60 days after the
due date, a | ||||||
18 | penalty of $100 plus $50 for each month or fraction
thereof | ||||||
19 | until
returned to good standing or
until administratively | ||||||
20 | dissolved by the Secretary of
State
$300 plus $100 for each | ||||||
21 | year or fraction thereof beginning with the second year of | ||||||
22 | delinquency until returned to good standing or until | ||||||
23 | reinstatement is effected .
| ||||||
24 | (2) The Secretary of State shall not file any
| ||||||
25 | additional documents, amendments, reports, or other
papers | ||||||
26 | relating to any limited liability company or
foreign |
| |||||||
| |||||||
1 | limited liability company organized under or
subject to the | ||||||
2 | provisions of this Act until any
delinquency under | ||||||
3 | subsection (a) is satisfied.
| ||||||
4 | (3) In response to inquiries received in the
Office of | ||||||
5 | the Secretary of State from any party
regarding a limited | ||||||
6 | liability company that is
delinquent, the Secretary of | ||||||
7 | State may show the limited
liability company as not in good | ||||||
8 | standing.
| ||||||
9 | (Source: P.A. 93-32, eff. 12-1-03; 94-605, eff. 1-1-06.)
| ||||||
10 | (805 ILCS 180/50-50)
| ||||||
11 | Sec. 50-50. Department of Business Services Special | ||||||
12 | Operations Fund.
| ||||||
13 | (a) A special fund in the State treasury is created and | ||||||
14 | shall be known as
the
Department of Business Services Special | ||||||
15 | Operations Fund. Moneys deposited into
the Fund
shall, subject | ||||||
16 | to appropriation, be used by the Department of Business | ||||||
17 | Services
of the Office
of the Secretary of State, hereinafter | ||||||
18 | "Department", to create and maintain the
capability to
perform | ||||||
19 | expedited services in response to special requests made by the | ||||||
20 | public
for same-day
or 24-hour service. Moneys deposited into | ||||||
21 | the Fund shall be used for, but not
limited to,
expenditures | ||||||
22 | for personal services, retirement, Social Security, | ||||||
23 | contractual
services,
equipment, electronic data processing, | ||||||
24 | and telecommunications.
| ||||||
25 | (b) The balance in the Fund at the end of any fiscal year |
| |||||||
| |||||||
1 | shall not exceed $400,000
$600,000 ,
and any amount in excess | ||||||
2 | thereof shall be transferred to the General Revenue
Fund.
| ||||||
3 | (c) All fees payable to the Secretary of State under this | ||||||
4 | Section shall be
deposited
into the Fund. No other fees or | ||||||
5 | charges collected under this Act
shall be
deposited into the
| ||||||
6 | Fund.
| ||||||
7 | (d) "Expedited services" means services rendered within | ||||||
8 | the same day, or
within 24
hours from the time, the request | ||||||
9 | therefor is submitted by the filer, law firm,
service company,
| ||||||
10 | or messenger physically in person or, at the Secretary of | ||||||
11 | State's discretion,
by electronic means, to the Department's | ||||||
12 | Springfield Office and
includes
requests for certified copies, | ||||||
13 | photocopies, and certificates of good standing
made to the
| ||||||
14 | Department's Springfield Office in person or by telephone, or | ||||||
15 | requests for
certificates of
good standing made in person or by | ||||||
16 | telephone to the Department's Chicago
Office.
| ||||||
17 | (e) Fees for expedited services shall be as follows:
| ||||||
18 | Restated articles of organization, $100
$200 ;
| ||||||
19 | Merger or conversion, $100
$200 ;
| ||||||
20 | Articles of organization, $50
$100 ;
| ||||||
21 | Articles of amendment, $50
$100 ;
| ||||||
22 | Reinstatement, $50
$100 ;
| ||||||
23 | Application for admission to transact business, $50
$100 ;
| ||||||
24 | Certificate of good standing or abstract of computer | ||||||
25 | record, $10
$20 ;
| ||||||
26 | All other filings, copies of documents, annual reports, and |
| |||||||
| |||||||
1 | copies of
documents of
dissolved or revoked limited liability | ||||||
2 | companies, $25
$50 .
| ||||||
3 | (Source: P.A. 92-33, eff. 7-1-01; 93-32, eff. 9-1-03.)
| ||||||
4 | (815 ILCS 5/18.1 rep.)
| ||||||
5 | Section 235. The Illinois Securities Law of 1953 is amended | ||||||
6 | by repealing Section 18.1.
| ||||||
7 | Section 240. The Workers' Compensation Act is amended by | ||||||
8 | changing Section 4d as follows:
| ||||||
9 | (820 ILCS 305/4d)
| ||||||
10 | Sec. 4d. Illinois Workers' Compensation Commission | ||||||
11 | Operations Fund Fee.
| ||||||
12 | (a) As of July 30, 2004 ( the effective date of Public Act | ||||||
13 | 93-840) and until the effective date of this amendatory Act of | ||||||
14 | the 96th General Assembly this amendatory Act of the 93rd
| ||||||
15 | General
Assembly , each employer that self-insures its | ||||||
16 | liabilities arising under this
Act
or Workers' Occupational | ||||||
17 | Diseases Act shall pay a fee measured by the annual
actual | ||||||
18 | wages paid in this State of such an employer in the manner | ||||||
19 | provided in
this Section. Such proceeds shall be deposited in | ||||||
20 | the Illinois Workers' Compensation Commission
Operations Fund. | ||||||
21 | If an employer survives or was formed by a merger,
| ||||||
22 | consolidation, reorganization, or reincorporation, the actual | ||||||
23 | wages paid in
this
State of all employers party to the merger, |
| |||||||
| |||||||
1 | consolidation, reorganization, or
reincorporation shall, for | ||||||
2 | purposes of determining the amount of the fee
imposed
by this | ||||||
3 | Section, be regarded as those of the surviving or new employer.
| ||||||
4 | (b) Beginning on July 30, 2004 (the effective date of | ||||||
5 | Public Act 93-840) and until the effective date of this | ||||||
6 | amendatory Act of the 96th General Assembly and on July 1 of | ||||||
7 | each year thereafter, the Chairman shall charge and
collect an | ||||||
8 | annual Illinois Workers' Compensation Commission Operations | ||||||
9 | Fund Fee from every employer
subject to subsection (a) of this | ||||||
10 | Section equal to 0.0075% of its annual actual
wages paid in | ||||||
11 | this State as reported in each employer's annual self-insurance
| ||||||
12 | renewal filed for the previous year as required by Section 4 of | ||||||
13 | this Act and
Section 4 of the Workers' Occupational Diseases | ||||||
14 | Act. All sums collected by the
Commission under the provisions | ||||||
15 | of this Section shall be paid promptly after
the
receipt of the | ||||||
16 | same, accompanied by a detailed statement thereof, into the
| ||||||
17 | Illinois Workers' Compensation Commission Operations Fund. The | ||||||
18 | fee due pursuant to Public Act 93-840 shall be collected | ||||||
19 | instead of the fee due on July 1, 2004 under Public Act 93-32. | ||||||
20 | Payment of the fee due under Public Act 93-840 shall discharge | ||||||
21 | the employer's obligations due on July 1, 2004.
| ||||||
22 | (c) In addition to the authority specifically granted under | ||||||
23 | Section 16, the
Chairman shall have such authority to adopt | ||||||
24 | rules or establish forms as may be
reasonably necessary for | ||||||
25 | purposes of enforcing this Section. The Commission
shall have | ||||||
26 | authority to defer, waive, or abate the fee or any penalties |
| |||||||
| |||||||
1 | imposed
by this Section if in the Commission's opinion the | ||||||
2 | employer's solvency and
ability to meet its obligations to pay | ||||||
3 | workers' compensation benefits would be
immediately threatened | ||||||
4 | by payment of the fee due.
| ||||||
5 | (d) When an employer fails to pay the full amount of any | ||||||
6 | annual Illinois Workers' Compensation
Commission Operations | ||||||
7 | Fund Fee of $100 or more due under this Section, there
shall be | ||||||
8 | added to the amount due as a penalty the greater of $1,000 or | ||||||
9 | an
amount
equal to 5% of the deficiency for each month or part | ||||||
10 | of a month that the
deficiency remains unpaid.
| ||||||
11 | (e) The Commission may enforce the collection of any | ||||||
12 | delinquent payment,
penalty
or portion thereof by legal action | ||||||
13 | or in any other manner by which the
collection of debts due the | ||||||
14 | State of Illinois may be enforced under the laws of
this State.
| ||||||
15 | (f) Whenever it appears to the satisfaction of the Chairman | ||||||
16 | that an employer
has
paid pursuant to this Act an Illinois | ||||||
17 | Workers' Compensation Commission Operations Fund Fee
in an | ||||||
18 | amount in excess of the amount legally collectable from the | ||||||
19 | employer, the
Chairman shall issue a credit memorandum for an | ||||||
20 | amount equal to the amount of
such overpayment. A credit | ||||||
21 | memorandum may be applied for the 2-year period from
the date | ||||||
22 | of issuance against the payment of any amount due during that | ||||||
23 | period
under the fee imposed by this Section or, subject to | ||||||
24 | reasonable rule of the
Commission including requirement of | ||||||
25 | notification, may be assigned to any other
employer subject to | ||||||
26 | regulation under this Act. Any application of credit
memoranda |
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
1 | after the period provided for in this Section is void.
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
2 | (Source: P.A. 95-331, eff. 8-21-07.)
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
3 | Section 999. Effective date. This Act takes effect upon | ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
4 | becoming law.
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||